
Academic Journal
Q1Eurasian Economic Review
About Eurasian Economic Review
About Eurasian Economic Review
Eurasian Economic Review is a peer-reviewed scholarly journal published by 1910 (Switzerland). It focuses on Q1. Publication coverage spans 2011-2026.
Key indicators: ISSN 1309-422X, 2147-429X; H-index 30.
Understanding This Journal's Metrics
Journal metrics help researchers assess fit, but they must be interpreted in context:
- H-index (30): 30 articles have each received at least 30 citations, indicating growing recognition.
Publishing in Eurasian Economic Review
When considering this journal, verify its current indexing status, editorial board, and recent publications to ensure it meets your needs for visibility and credibility.
- Scope fit: Confirm your research aligns with Q1. Off-scope manuscripts are typically desk-rejected quickly.
- Author guidelines: Follow formatting, reference style, and article-type requirements exactly — non-compliant manuscripts may be returned without review.
Is This Journal Right for Your Paper?
- Audience match: Will the journal's readers cite and build on your findings?
- Timeline: Higher-tier journals mean longer review and higher rejection risk. Balance prestige against your schedule.
- Indexing: Confirm indexing in Web of Science, Scopus, and PubMed (if biomedical) meets your institutional requirements.
- Open access needs: Check funder mandates and whether the journal offers compliant OA options.
Frequently Asked Questions
What is the ISSN of Eurasian Economic Review?
1309-422X, 2147-429X.
Who publishes Eurasian Economic Review?
1910.
What are Eurasian Economic Review's metrics?
H-index 30.
Is Eurasian Economic Review peer-reviewed?
Yes — it is a peer-reviewed scholarly journal indexed in major academic databases.
Source-backed journal facts
Topics in published research
Corporate Finance and Governance; Market Dynamics and Volatility; Firm Innovation and Growth; Monetary Policy and Economic Impact; Banking stability, regulation, efficiency; Global trade and economics.
OpenAlex classifies topics from published works. These topics are not the publisher’s official aims and scope.
Reported open-access list prices
2,390.00 USD; 3,290.00 EUR
APC list prices reported by OpenAlex, which obtains this information from DOAJ. Confirm current charges, taxes, waivers and eligibility with the publisher; this is not a fee quotation.
Source: OpenAlex source record. Retrieved 2026-10-03. Source record updated 2026-10-02. OpenAlex metrics are different from SCImago metrics and the Clarivate Journal Impact Factor.
Journal Metrics
Quartile, SJR and the listed SCImago H-index use the 2025 imported SCImago dataset. A quartile may vary by subject category. Values without a source or reporting year are unverified historical entries. Verify the current Journal Impact Factor with Clarivate or the publisher before using it.
Aims & Scope
The publisher’s official aims and scope have not yet been verified for this profile. Use the journal website to check subject fit and accepted article types before submitting.
Recent Research Articles
Latest publications matched automatically by ISSN.
Fiscal rules and debt sustainability: a local projections difference-in-differences analysis of 195 countries
Abdelhamid Moustabchir, Sara LouKili, Hicham Ouakil, Hicham El Ouazzani et al.
2026-10-05 · DOI: 10.1007/s40822-026-00399-2Climate finance and green economic growth: does institutional quality matter?
Irwan Trinugroho, Subroto Rapih, Nkwetta Ajong Aquilas, Budi Wahyono et al.
2026-09-30 · DOI: 10.1007/s40822-026-00398-3Underreporting in count data models: some new results and an application to labor mobility
Rainer Winkelmann
2026-09-22 · DOI: 10.1007/s40822-026-00395-6Digital payment index and bank stability in emerging economies: evidence from India
Kavita Yadav, Rishman Jot Kaur Chahal
2026-09-17 · DOI: 10.1007/s40822-026-00396-5Do country risk, financial development, and informal economy improve environmental quality? Evidence from Pakistan
Faisal Faisal, Hamid Ghazi H Sulimany, Sami Ur Rahman, Adnan Ali et al.
2026-09-16 · DOI: 10.1007/s40822-026-00386-7Tangled markets in motion: a Bayesian Time Varying Parameter-VAR analysis of equities, gold, policy uncertainty and Bitcoin
Mariyam Shaukat, Arvind Awasthi
2026-09-11 · DOI: 10.1007/s40822-026-00391-wSectoral connectedness in the cryptocurrency market: a quantile VAR analysis of green, stable, and decentralized finance tokens
Ayesha Rehan, Wahbeeah Mohti, Faheem Aslam, Fahd Amjad et al.
2026-09-11 · DOI: 10.1007/s40822-026-00393-8From liquidity spirals to network topologies: a bibliometric analysis of bank interconnectedness in polycrisis era
Wardatul Adawiyah, Izlin Ismail, Mohd Zaidi Md Zabri
2026-09-10 · DOI: 10.1007/s40822-026-00387-6The state-dependent effects of monetary policy on fiscal balances: an analysis of debt burdens and deficits
Hakan Yilmazkuday
2026-09-08 · DOI: 10.1007/s40822-026-00397-4Forecasting Chinese stock market volatility: a GARCH-MIDAS model with an adaptive LASSO method
Jiacheng Li, Seong-Min Yoon
2026-09-08 · DOI: 10.1007/s40822-026-00388-5Labor Market Reforms in Germany: Echoes of the Past and Challenges of the Future
Ulf Rinne
2026-09-08 · DOI: 10.1007/s40822-026-00394-7Green technological innovation and global energy security: evidence from 61 economies
Jianhua Zhang, Salman Abbas, Moniba Sana, Maryum Sajjad et al.
2026-09 · DOI: 10.1007/s40822-026-00392-9Green cryptocurrencies, carbon-neutral blockchain, and sustainable finance: tail connectedness and systemic risk in the digital asset sustainability nexus
Bashar Yaser Almansour, Ammar Yaser Almansour, Seyed Amirhossein Shojaei
2026-09 · DOI: 10.1007/s40822-026-00389-4Are geopolitical risks always harmful? New insights from their non-linear dynamics with bank lending in an emerging economy
Chi Huu Lu
2026-07-21 · DOI: 10.1007/s40822-026-00384-9Monetary policy uncertainty and cryptocurrency market uncertainty evidence from time-varying VAR and transmission channels
Mohamad Husam Helmi, Abdurrahman Nazif Çatık, Coşkun Akdeniz, Arya Akdeniz et al.
2026-09 · DOI: 10.1007/s40822-026-00381-yThe relationship between market discipline, Big Four audit firms, and bank efficiency: evidence from a transitional economy
Dat T. Nguyen, Tu D. Q. Le, Linh Tran
2026-09 · DOI: 10.1007/s40822-026-00385-8Correction: Population change: effects on the environment, society, and economy
Christopher F. Baum, Sergio Scicchitano, Anzelika Zaiceva, Klaus F. Zimmermann et al.
2026-09 · DOI: 10.1007/s40822-026-00383-wLocalized technological change and the emergence of a new Leontief paradox: evidence from global economies
Christophe Feder, Cristiano Antonelli
2026-07-01 · DOI: 10.1007/s40822-026-00380-zRemote work versus part-time employment: a new work-family balance?
Thea Jansen, Marina De Angelis
2026-09 · DOI: 10.1007/s40822-026-00378-7Analyst coverage, trade exposure, and corporate carbon emissions in China
Tony Chieh-Tse Hou, Malinga Siboniso Brightwell, Yang Yang
2026-09 · DOI: 10.1007/s40822-026-00379-6Reviews
Community Reviews
Version History
October 10, 2026 at 2:19 am
October 2, 2026