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Financial Markets Institutions and Risks
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top-articles
Financial Markets Institutions and Risks
1.7
(top 50%)
impact factor
306
(top 50%)
papers
1.0K
(top 50%)
citations
14
(top 50%)
h
-index
1.7
(top 50%)
extended IF
326
all documents
1.1K
doc citations
19
(top 50%)
g
-index
Top Articles
#
Title
Journal
Year
Citations
1
Assessment of green investment impact on the energy efficiency gap of the national economy
Financial Markets Institutions and Risks
2020
52
2
Carbon financial markets underlying climate risk management, pricing and forecasting: Fundamental analysis
Financial Markets Institutions and Risks
2020
25
3
The Global Green Bond Market in the Face of the COVID-19 Pandemic
Financial Markets Institutions and Risks
2021
22
4
Does the efficiency of working capital management and environmental, social, and governance performance affect a firm’s value? Evidence from the United States
Financial Markets Institutions and Risks
2022
21
5
Financial Policy of Innovation Development Providing: The Impact Formalization
Financial Markets Institutions and Risks
2020
20
6
The role of tax competition between the countries of the world and the features of determining the main tax competitors of Ukraine among the European countries
Financial Markets Institutions and Risks
2017
18
7
Impact of the Foreign Direct Investment on Economic growth in the Republic of Benin
Financial Markets Institutions and Risks
2019
18
8
Carbon Financial Markets Underlying Climate Change Mitigation, Pricing and Challenges: Technical Analysis
Financial Markets Institutions and Risks
2021
17
9
Business Friendliness, Firm Performance and Owner’s Optimism
Financial Markets Institutions and Risks
2020
17
10
Digital Financial Decision With A View of Neuroplasticity / Neurofinancy / Neural Networks
Financial Markets Institutions and Risks
2018
17
11
Fiscal Decentralisation as a Factor of Macroeconomic Stability of the Country
Financial Markets Institutions and Risks
2017
16
12
Big Data & Analytics as a sustainable Customer Loyalty Instrument in Banking and Finance
Financial Markets Institutions and Risks
2019
16
13
Sustainable Finance at the time of Institutions : Performativity through the lens of Responsible Management in Morocco
Financial Markets Institutions and Risks
2020
16
14
Shadow Investment Activity as a Factor of Macroeconomic Instability
Financial Markets Institutions and Risks
2020
16
15
Multivariate Analysis of a Time Series EU ETS: Methods and Applications in Carbon Finance
Financial Markets Institutions and Risks
2019
15
16
Study of Linkages Between Outward Foreign Direct Investment (OFDI) and Domestic Economic Growth: an Indian Perspective
Financial Markets Institutions and Risks
2019
15
17
Financial Evolution and Interdisciplinary Research
Financial Markets Institutions and Risks
2023
15
18
Impact of Accounting Software among SMEs Accountants in Oman
Financial Markets Institutions and Risks
2020
14
19
Financial Crises and Nexus Between Economic Growth and Foreign Direct Investment
Financial Markets Institutions and Risks
2018
13
20
Knowledge Management and its Effects on Financial Performance: Evidence from Dangote Flour Mills, Ilorin
Financial Markets Institutions and Risks
2020
12
21
Strategy for Determining Country Ranking by Level of Cybersecurity
Financial Markets Institutions and Risks
2020
12
22
Green Financing for Carbon-Free Growth: Role of Banks Marketing Strategy
Financial Markets Institutions and Risks
2021
12
23
Public Spending and Economic Growth in Developing Countries: a Synthesis
Financial Markets Institutions and Risks
2018
11
24
Natural Resource Rent and Financial Development Nexuses in Bangladesh: The Role of Institutional Quality
Financial Markets Institutions and Risks
2020
11
25
Alternative Finance Business-Models: Online Platforms
Financial Markets Institutions and Risks
2017
11
26
Trust in the banking sector: EU experience and evidence from Ukraine
Financial Markets Institutions and Risks
2017
11
27
From financial performance to sustainable development: A great evolution and an endless debate
Financial Markets Institutions and Risks
2022
11
28
Impact of COVID-19 on personal insurance sales – Evidence from Germany
Financial Markets Institutions and Risks
2021
10
29
Macroprudential policy and financial stability, role and tools
Financial Markets Institutions and Risks
2020
10
30
The New Italian Legislation on Corporate Governance and Business Crisis. The Impact of Covid – 19 on SMEs and the Recent Rules to Mitigate the Effects
Financial Markets Institutions and Risks
2020
10
31
Risk Management and Behavioral Finance
Financial Markets Institutions and Risks
2018
10
32
The International Tax Competitiveness: Bibliometric Analysis
Financial Markets Institutions and Risks
2021
9
33
Reputation risk in banking: application for Ukraine
Financial Markets Institutions and Risks
2018
9
34
Non-bank financial institutions activity in the context of economic growth: cross-country comparisons
Financial Markets Institutions and Risks
2017
8
35
Credit Information Sharing and Its Link to Financial Inclusion and Financial Intermediation
Financial Markets Institutions and Risks
2017
8
36
Behavioral Biases Influencing the Decision Making of Portfolio Managers of Capital Securities and Traders in Morocco
Financial Markets Institutions and Risks
2019
8
37
Correlational Study: Internal Auditing and Management Control Environment Innovation within Public Sector in the United States
Financial Markets Institutions and Risks
2019
8
38
Causal-Comparative Macroeconomic Behavioral Study: International Corporate Financial Transfer Pricing in the United States
Financial Markets Institutions and Risks
2020
8
39
Self Sovereign Digital Identity on the Blockchain: A Discourse Analysis
Financial Markets Institutions and Risks
2020
8
40
Evaluating of the financial equalization system in Ukraine
Financial Markets Institutions and Risks
2018
8
41
Financial Institutions Micro Loans: A Strategy for Reducing Poverty in Nigeria
Financial Markets Institutions and Risks
2019
8
42
Dynamic Effects of Foreign Portfolio Investment on Economic Growth in Nigeria
Financial Markets Institutions and Risks
2020
8
43
The Depth of the Financial System: A Comparison of Developed and Less Developed Countries
Financial Markets Institutions and Risks
2020
8
44
Experiential Learning Through the Creation of an Investment Lab
Financial Markets Institutions and Risks
2023
8
45
Society’s Readiness for Modern Challenges of the Insurance Market: Bibliometric Analysis
Financial Markets Institutions and Risks
2021
7
46
Intercept of Financial, Economic and Educational Transformations: Bibliometric Analysis
Financial Markets Institutions and Risks
2021
7
47
Data Mining of Operations with Card Accounts of Bank Clients
Financial Markets Institutions and Risks
2017
7
48
Corporate Governance and Economic Performance: The Limit of Short Termism
Financial Markets Institutions and Risks
2019
7
49
Artificial Intelligence: Serving American Security and Chinese Ambitions
Financial Markets Institutions and Risks
2020
7
50
Social Bonds as an Instrument of Responsible Investment
Financial Markets Institutions and Risks
2020
7
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