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Home Finance and Stochastics

Finance and Stochastics

Q1 Journal Journal
Country
Germany
Western Europe
Subject Area and Category
Decision Sciences
Finance Q1
Statistics and Probability Q1
Statistics, Probability and Uncertainty Q1
Publisher
SJR 2025
1.046
Q1
SJR Score
H-Index
58
Citations / Doc (2yr)
1.93
Total Docs. (latest)
30
Total Citations (3yr)
156
Publication type
Journals
ISSN
14321122, 09492984
Coverage
2004-2026
Journal Rank
#4,538

Subject Categories

Finance Q1
Statistics and Probability Q1
Statistics, Probability and Uncertainty Q1

Aims & Scope

The purpose of Finance and Stochastics is to provide a high standard publication forum for research - in all areas of finance based on stochastic methods - on specific topics in mathematics (in particular probability theory, statistics and stochastic analysis) motivated by the analysis of problems in finance. Finance and Stochastics encompasses - but is not limited to - the following fields: - theory and analysis of financial markets - continuous time finance - derivatives research - insurance in relation to finance - portfolio selection - credit and market risks - term structure models - statistical and empirical financial studies based on advanced stochastic methods - numerical and stochastic solution techniques for problems in finance - intertemporal economics, uncertainty and information in relation to finance.

Abstracting & Indexing

Scopus Google Scholar Web of Science

Detailed Metrics

Total Docs. (latest) 30
Total Docs. (3 years) 84
Total Refs. 1,208
Total Citations (3 years) 156
Citable Docs. (3 years) 81
Citations / Doc. (2 years) 1.93
Ref. / Doc. 40.27
% Female 16.2%

Metrics Visualization

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Journal Information

SJR1.046
Best QuartileQ1
H Index58
ISSN14321122, 09492984
PublisherSpringer Verlag
CountryGermany
RegionWestern Europe
Coverage2004-2026
Open AccessNo
TypeJournal
Rank#4,538

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