Journal metric profile

Review of Behavioral Finance

Clarivate Journal Citation Reports (JCR)-based Journal Impact Factor, five-year Impact Factor, quartile, category rank, publisher, identifiers and citation profile for the 2025 metric year.

JCR-based Impact Factor 1.800 2025 metric year
5-Year Impact Factor 2.200 Longer citation window
JCR Quartile Q3 Subject-category quartile
JCR Category Rank 121/241 Recorded category rank

Review of Behavioral Finance JCR impact factor overview

Automatically generated from the journal record shown on this page.

Page reviewed August 6, 2026

Clarivate JCR impact factor overview

Review of Behavioral Finance is listed in this directory with bibliometric information for 2025. It is published by EMERALD GROUP PUBLISHING LTD. The database records a Journal Impact Factor of 1.800, presented as a Clarivate Journal Citation Reports (JCR)-based metric. Its listed JCR Impact Factor quartile is Q3.

Ranking and quartile

The recorded JCR Impact Factor category rank is 121 out of 241 journals in its listed category. A Q3 designation describes the journal’s position within its subject category; it should not be used as a direct measure of the quality of an individual article.

Citation profile

The record contains 594 total citations, 35 total articles, 35 citable items. The five-year Impact Factor is 2.200, which is 0.400 points above the listed standard Journal Impact Factor. These values use different citation windows and should be interpreted together rather than as a direct trend. The Journal Impact Factor without journal self-citations is recorded as 1.600. The Journal Citation Indicator is listed as 0.490.

Citation half-life

The cited half-life is recorded as 4.3 years, describing the median age of articles cited in the reporting year. The citing half-life is 10 years, reflecting the median age of references used by the journal’s articles.

Journal identifiers and verification

Review of Behavioral Finance is identified in this record by print ISSN 1940-5979 and electronic ISSN 1940-5987. Use the ISSN when checking library catalogues, publisher records, indexing databases, or the official Clarivate Journal Citation Reports entry.

Complete journal information

All values below come directly from the database record.

Journal nameReview of Behavioral Finance
Abbreviated journalREV BEHAV FINANCE
PublisherEMERALD GROUP PUBLISHING LTD
Metric year2025
Overall rank9,201
ISSN1940-5979
eISSN1940-5987
Total cites594
Total articles35
Citable items35
Cited half-life4.3 years
Citing half-life10 years
JCR-based Journal Impact Factor1.800
5-Year Impact Factor2.200
Impact Factor without journal self-cites1.600
Journal Citation Indicator0.490
JCR Impact Factor quartileQ3
JCR category rank121/241
Database record updated

Frequently asked questions

What is the 2025 JCR-based Journal Impact Factor of Review of Behavioral Finance?

The Journal Impact Factor recorded in this directory as a Clarivate Journal Citation Reports (JCR)-based value for Review of Behavioral Finance is 1.800 for the 2025 metric year.

What quartile is Review of Behavioral Finance?

Review of Behavioral Finance is listed in quartile Q3. Quartiles describe a journal’s position within a subject category and should be interpreted within that field.

Who publishes Review of Behavioral Finance?

Review of Behavioral Finance is listed as being published by EMERALD GROUP PUBLISHING LTD.

Can a JCR Journal Impact Factor be used to judge an individual article?

No. The Journal Impact Factor is a journal-level citation measure reported in Clarivate Journal Citation Reports. It does not measure the quality, reliability or influence of every individual article published by that journal.

Additional records from the same publisher or with a similar listed JCR Impact Factor.