JOURNAL OF RISK AND UNCERTAINTY
JOURNAL OF RISK AND UNCERTAINTY
期刊ISSN: 0895-5646
E-ISSN: 1573-0476
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自引率: 13%
SCI期刊JCR分区
SCI期刊JCR分区等级:2区
按学科分区
BUSINESS, FINANCE
Q2
ECONOMICS
Q2
BUSINESS, FINANCE
Q2
ECONOMICS
Q2
《新锐期刊分区表》(2026年3月发布)
大类学科
经济学
2区
小类学科
商业:财政与金融
3区
经济学
2区
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综述期刊
最新中科院SCI期刊分区(2025年3月升级版)
大类学科
经济学
3区
小类学科
商业:财政与金融
4区
经济学
4区
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综述期刊
期刊简介
The Journal of Risk and Uncertainty (JRU) welcomes original empirical, experimental, and theoretical manuscripts dealing with the analysis of risk-bearing behavior and decision making under uncertainty. The topics covered in the journal include, but are not limited to, decision theory and the economics of uncertainty, experimental investigations of behavior under uncertainty, empirical studies of real world risk-taking behavior, behavioral models of choice under uncertainty, and risk and public policy. Review papers are welcome. The JRU does not publish finance or behavioral finance research, game theory, note length work, or papers that treat Likert-type scales as having cardinal significance. An important aim of the JRU is to encourage interdisciplinary communication and interaction between researchers in the area of risk and uncertainty. Authors are expected to provide introductory discussions which set forth the nature of their research and the interpretation and implications of their findings in a manner accessible to knowledgeable researchers in other disciplines. Officially cited as: J Risk Uncertain
出版信息
出版商
Springer Nature
涉及的研究方向
Multiple-
刊期
6 issues per year
年文章数
27
是否OA
Cite Score(2025年最新版)
Cite Score SJR SNIP 排名
3.0 0.791 1.051
学科
大类学科:Economics, Econometrics and Finance
小类学科:Economics and Econometrics
分区
Q2
学科
大类学科:Economics, Econometrics and Finance
小类学科:Finance
分区
Q2
学科
大类学科:Economics, Econometrics and Finance
小类学科:Accounting
分区
Q3
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