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Financial Analysts Journal

Taylor & Francis · GB · ISSN 0015198X

SJR Q1

동향 요약

게재량과 인용 영향력이 동시에 줄어든 모습입니다.

연간 게재가 43편에서 32편으로 줄었습니다. 원고가 더 오래 걸리거나 경쟁이 달라졌을 수 있으니 제출 일정에 여유를 두십시오. 분야보정 인용지표(FWCI)는 4.35에서 1.64로 내렸습니다. 최근 게재 논문으로 인용 성과를 기대한다면 신중히 판단해야 합니다. Financial Literacy, Pension, Retirement Analysis 비중이 0.0%에서 10.0%로 올랐습니다. 연금이나 재무문해 관련 원고는 노출 가능성이 커졌습니다. 최근 논문 제목에 investors · fund · returns · asset · equities 가 눈에 띄게 늘었습니다. 투자자나 펀드 관련 키워드를 포함한 연구가 눈에 띄게 보일 것입니다.

인용 지표

SJR 분위
Q1
SJR 점수
1.43
편당 피인용 (2년)
2.64
h-index
167

Scopus·OpenAlex 인용 그래프 기반 지표입니다. Clarivate 의 JCR Impact Factor 는 제공하지 않습니다.

게재량과 인용 성과

게재량이 늘 때 인용 성과가 따라가는지 함께 봅니다.

편수분야보정 인용력
2018
43
4.35
2019
44
4.22
2020
33
3.29
2021
27
6.49
2022
33
3.24
2023
35
2.09
2024
22
3.16
2025
32
1.64

주제 이동

최근 24개월(2024-09 – 2026-08)과 직전 24개월(2022-09 – 2024-08)의 비중을 비교했습니다.

늘어난 주제
  • Financial Literacy, Pension, Retirement Analysis0.0%10.0%+10.0%p
    직전
    최근
  • Banking stability, regulation, efficiency1.7%6.0%+4.3%p
    직전
    최근
  • Earthquake and Disaster Impact Studies0.0%4.0%+4.0%p
    직전
    최근
  • Aesthetic Perception and Analysis0.0%4.0%+4.0%p
    직전
    최근
  • Corporate Social Responsibility Reporting1.7%4.0%+2.3%p
    직전
    최근
줄어든 주제
  • Financial Markets and Investment Strategies63.8%42.0%−21.8%p
    직전
    최근
  • Sustainable Finance and Green Bonds3.5%0.0%−3.5%p
    직전
    최근
  • Market Dynamics and Volatility3.5%0.0%−3.5%p
    직전
    최근
  • Private Equity and Venture Capital5.2%2.0%−3.2%p
    직전
    최근

최근 자주 등장한 용어

최근 게재 논문 제목에서 이전 대비 두드러지게 늘어난 표현입니다.

investorsfundreturnsassetequitiesstockallocationbond

저자 국가 구성

최근 24개월(2024-09 – 2026-08)과 직전 24개월(2022-09 – 2024-08)의 비중을 나란히 놓았습니다.

  • US50.0%63.6%+13.6%p
    직전
    최근
  • SE0.0%9.1%+9.1%p
    직전
    최근
  • AU3.1%9.1%+6.0%p
    직전
    최근
  • IL0.0%9.1%+9.1%p
    직전
    최근
  • HU0.0%9.1%+9.1%p
    직전
    최근
  • NL9.4%0.0%−9.4%p
    직전
    최근

기관별 게재 Top 5

2018 – 2026 기간 이 저널에 논문을 실은 기관 상위 5곳입니다.

최근 게재 논문

20

게재일 최신순 20편입니다. 전체 목록이 아닙니다.

1
논문2026
Don’t Blame Indexing for Your Problems
Owen A. Lamont*
Social PsychologyPsychology
2
논문2026
In Memoriam: Martin Leibowitz’s Contributions Across Finance
Frank J. Fabozzi*
FinanceEconomics, Econometrics and Finance
3
논문2026
Analyzing ESG Follow-Through of Pension Funds: Evidence from Korea’s National Pension Service
Sehee Kim, Woo‐Jong Lee, Hee‐Yeon Sunwoo, Aaron Yoon
AccountingBusiness, Management and Accounting
4
논문2026
When the Equity Premium Was New: How the Baleful Impact of Deflation Eluded E. L. Smith
Edward F. McQuarrie*
FinanceEconomics, Econometrics and Finance
5
논문2026
Carbon Beta: A Market-Based Measure of Climate Transition Risk Exposure
Joop Huij, Dries Laurs, Philip Stork, Remco C. J. Zwinkels
OAEconomics and EconometricsEconomics, Econometrics and Finance
6
논문2026
Bad Timing Does Not Cost Investors 15% of Their Funds’ Returns: An Examination of Morningstar’s “Mind the Gap” Study
Jon Fulkerson, Bradford Jordan, Timothy Riley*, Yan Qing
OAFinanceEconomics, Econometrics and Finance
7
논문2026
2025 Report to Readers
Luis García-Feijóo*
TransportationSocial Sciences
8
논문2026
Emotional Yields of Collectibles
Elroy Dimson*, Kuntara Pukthuanthong, Blair Vorsatz
OACognitive NeuroscienceNeuroscience
9
논문2026
A Reassessment of Hedge Fund Returns Using Daily Return Data
Christos Antoniadis, Spyros Skouras*
FinanceEconomics, Econometrics and Finance
10
논문2026
Fundamental Growth
Rob Arnott, Chris Brightman, Campbell R. Harvey, Que Nguyen, Omid Shakernia
OAEconomics and EconometricsEconomics, Econometrics and Finance
11
논문2026
Value versus Growth: What Drives the Value Premium?
Linda H. Chen, Wei Huang, George J. Jiang*
Strategy and ManagementBusiness, Management and Accounting
12
논문2026
Rethinking Variable Importance in Machine Learning: An Economic Perspective on Empirical Asset Pricing
Yonghwan Jo*, Yong Hyun Kim
FinanceEconomics, Econometrics and Finance
13
논문2026
The Performance of Small Business Investment Companies
Gregory W. Brown*, Wendy Hu, David T. Robinson, William M. Volckmann
OAAccountingBusiness, Management and Accounting
14
논문2026
Mutual Fund Selection When Borrowing Is Restricted: On the Virtues of the Generalized Geometric Mean
Moshe Levy*
OAEconomics and EconometricsEconomics, Econometrics and Finance
15
논문2026
ESG Ratings, ESG News Sentiment, and Firm Credit Risk Perception
Fangfang Wang, Florina Silaghi, Steven Ongena, Miguel García-Cestona
Strategy and ManagementBusiness, Management and Accounting
16
논문2026
The Best Defensive Strategies: Two Centuries of Evidence
Guido Baltussen*, Martin Martens, Lodewijk van der Linden
OAPolitical Science and International RelationsSocial Sciences
17
논문2026
Big Data Meets the Turbulent Oil Market
Charles Calomiris, Nida Çakır Melek, Harry Mamaysky
Ocean EngineeringEngineering
18
논문2025
Adjusting for Risk Effects in Fixed Income Portfolios
Geo Hahn, Lars Rickenberg, Desislava Vladimirova*
AccountingBusiness, Management and Accounting
19
논문2025
In Memoriam: Philippe Jorion
William Goetzmann*
HistoryArts and Humanities
20
논문2025
Financing the Sustainable Development Goals: Exploring the Role of Government Bond Investors
Laurens Swinkels*, Jan Anton van Zanten, Bruno Rein, Rikkert Scholten
OAFinanceEconomics, Econometrics and Finance

많이 인용된 논문

20

2018 – 2026 기간 피인용 상위 20편입니다.

1
논문인용수 1,4222018
Why and How Investors Use ESG Information: Evidence from a Global Survey
Amir Amel‐Zadeh*, George Serafeim
Strategy and ManagementBusiness, Management and Accounting
2
논문인용수 7122021
ESG Rating Disagreement and Stock Returns
Rajna Gibson Brandon, Philipp Krueger, Peter Schmidt
Strategy and ManagementBusiness, Management and Accounting
3
논문인용수 2602019
Corporate Governance, ESG, and Stock Returns around the World
Mozaffar Khan*
OAFinanceEconomics, Econometrics and Finance
4
논문인용수 2072019
Machine Learning for Stock Selection
Keywan Christian Rasekhschaffe*, Robert C. Jones
Management Science and Operations ResearchDecision Sciences
5
논문인용수 1952022
Which Corporate ESG News Does the Market React To?
George Serafeim, Aaron Yoon
Strategy and ManagementBusiness, Management and Accounting
6
논문인용수 1602020
Public Sentiment and the Price of Corporate Sustainability
George Serafeim*
Strategy and ManagementBusiness, Management and Accounting
7
논문인용수 1062021
Reports of Value’s Death May Be Greatly Exaggerated
Robert D. Arnott, Campbell R. Harvey, Vitali Kalesnik, Juhani T. Linnainmaa
OAFinanceEconomics, Econometrics and Finance
8
리뷰인용수 872019
Challenging the Conventional Wisdom on Active Management: A Review of the Past 20 Years of Academic Literature on Actively Managed Mutual Funds
Martijn Cremers*, Jon A. Fulkerson, Timothy B. Riley
FinanceEconomics, Econometrics and Finance
9
논문인용수 832020
The Shift from Active to Passive Investing: Risks to Financial Stability?
Kenechukwu Anadu*, Mathias S. Kruttli, Patrick E. McCabe, Emilio Osambela
FinanceEconomics, Econometrics and Finance
10
논문인용수 752022
Net-Zero Carbon Portfolio Alignment
Patrick Bolton*, Marcin Kacperczyk, Frédéric Samama
Economics and EconometricsEconomics, Econometrics and Finance
11
논문인용수 742018
Buffett’s Alpha
Andrea Frazzini, David Kabiller, Lasse Heje Pedersen
OATourism, Leisure and Hospitality ManagementBusiness, Management and Accounting
12
논문인용수 732020
When Managers Change Their Tone, Analysts and Investors Change Their Tune
Marina Druz*, Ivan Petzev, Alexander F. Wagner, Richard Zeckhauser
OAFinanceEconomics, Econometrics and Finance
13
논문인용수 712018
Hedge Funds and Stock Price Formation
Charles Cao*, Yong Chen, William N. Goetzmann, Bing Liang
FinanceEconomics, Econometrics and Finance
14
논문인용수 652020
Toward ESG Alpha: Analyzing ESG Exposures through a Factor Lens
Ananth Madhavan*, Aleksander Sobczyk, Andrew Ang
FinanceEconomics, Econometrics and Finance
15
논문인용수 642018
Sharpening the Arithmetic of Active Management
Lasse Heje Pedersen*
OAEconomics and EconometricsEconomics, Econometrics and Finance
16
논문인용수 622023
Applying Economics—Not Gut Feel—to ESG
Alex Edmans*
FinanceEconomics, Econometrics and Finance
17
논문인용수 562019
The Near-Term Forward Yield Spread as a Leading Indicator: A Less Distorted Mirror
Eric Engström, Steven A. Sharpe
OAGeneral Economics, Econometrics and FinanceEconomics, Econometrics and Finance
18
논문인용수 522019
Comparing Cost-Mitigation Techniques
Robert Novy‐Marx*, Mihail Velikov
FinanceEconomics, Econometrics and Finance
19
논문인용수 522021
Enhanced Portfolio Optimization
Lasse Heje Pedersen, Abhilash Babu, Ari Daniel Levine
OAFinanceEconomics, Econometrics and Finance
20
논문인용수 512018
When Diversification Fails
Sébastien Page, Robert A. Panariello
OAFinanceEconomics, Econometrics and Finance

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