About the journal 2011-TODAY (14th VOLUME in 2024)
This Journal replaces the former International Journal of Latest Trends in Finance and Economic Sciences (IJLTFES) first launched in 2011 with ISSN: 2047-0916.
The aim of the new journal, International Journal of Finance, Insurance and Risk Management (JFIRM) is to publish quantitative and qualitative studies from selected areas within these disciplines and other related areas such as Banking, Accounting, Auditing, Compliance, Sustainability, Behaviour, Management and Business Economics.
The main scope of the journal is to spread original academic, theoretical and practical insights and studies about these fields to a national and international audience, with the widest reach and spectrum as possible.
As of 2024, the online submission platform has been changed. IJFIRM is now using the ScholarOne submission platform by Clarivate, as part of the Clarivate group of journals. We trust the ScholarOne platform for effective and immediate double peer-review evaluation. For more information or assistance on how to use the platform, please contact: info@isma-edu.eu;
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“International Journal of Finance, Insurance and Risk Management”
ISSN: 2672-832X
ICV 2022: 91.92
The result of the assessment in the ICI Journals Master List database – the Index Copernicus Value (ICV) – is a measure of the parametric power of a scientific journal. It indicates to what extent the journal meets international standards in the field of key functional areas of this medium of science.
The ICV consists of two main components: quality of the journal and journal’s impact.