Journal of Financial Stability
Q1 Journal
Journal
Country
Netherlands
Western Europe
Subject Area and Category
Economics, Econometrics and Finance
└
Economics, Econometrics and Finance (miscellaneous)
Q1
└
Finance
Q1
Publisher
SJR 2025
1.589
Q1
SJR Score
H-Index
90
Citations / Doc (2yr)
5.10
Total Docs. (latest)
86
Total Citations (3yr)
1,480
Publication type
Journals
ISSN
15723089
Coverage
2004-2026
Journal Rank
#2,190
Subject Categories
Economics, Econometrics and Finance (miscellaneous)
Q1
Finance
Q1
Subject Areas
Aims & Scope
The Journal of Financial Stability provides an international forum for rigorous theoretical and empirical macro and micro economic and financial analysis of the causes, management, resolution and preventions of financial crises, including banking, securities market, payments and currency crises.
The primary focus is on applied research that would be useful in affecting public policy with respect to financial stability.
Thus, the Journal seeks to promote interaction among researchers, policy-makers and practitioners to identify potential risks to financial stability and develop means for preventing, mitigating or managing these risks both within and across countries.
Abstracting & Indexing
Scopus
Google Scholar
Web of Science
Detailed Metrics
| Total Docs. (latest) | 86 |
| Total Docs. (3 years) | 260 |
| Total Refs. | 5,844 |
| Total Citations (3 years) | 1,480 |
| Citable Docs. (3 years) | 257 |
| Citations / Doc. (2 years) | 5.10 |
| Ref. / Doc. | 67.95 |
| % Female | 31.3% |
Metrics Visualization
Latest year data vs 3-year cumulative figures
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