Journal of Behavioral Finance

Journal of Behavioral Finance  
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

Abstracting and indexing

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]

See also

References

  1. ^ "Journals Ranked by Impact: Business, Finance". 2010 Journal Citation Reports. Web of Science (Social Sciences ed.). Thomson Reuters. 2011. 
  2. ^ "Journals Ranked by Impact: Economics". 2010 Journal Citation Reports. Web of Science (Social Sciences ed.). Thomson Reuters. 2011. 

External links