Journal of Behavioral Finance | |
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Former name(s) | The Journal of Psychology and Financial Markets |
Abbreviated title (ISO) | J. Behav. Finance |
Discipline | Behavioral finance |
Language | English |
Publication details | |
Publisher | Routledge on behalf of The Institute of Behavioral Finance (United States) |
Publication history | 2000-present |
Frequency | Quarterly |
Impact factor (2010) |
0.262 |
Indexing | |
ISSN | 1542-7560 (print) 1542-7579 (web) |
LCCN | 2002215600 |
OCLC number | 51166000 |
Links | |
The Journal of Behavioral Finance is a quarterly peer-reviewed academic journal that covers research related to the field of behavioral finance. It was established in 2000 as The Journal of Psychology and Financial Markets. The founding editor-in-chief was Gunduz Caginalp (2000-2005), Brian Bruce (PanAgora Asset Management) is the current editor.
Contents |
The journal is abstracted and indexed in:
According to the Journal Citation Reports, the journal has a 2010 impact factor of 0.262, ranking it 71st out of 76 journals in the category "Business, Finance",[1] and 256th out of 305 journals in the category "Economics".[2]