Financial markets and portfolio management
译名:金融市场与投资组合管理
Financial Markets and Portfolio Management
1-3
2026
影响因子区间
—
平台估算
4%
2025
中国作者发文占比
3150 CHF
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期刊简介:The journal Financial Markets and Portfolio Management invites submissions of original research articles in all areas of finance, especially in – but not limited to – financial markets, portfolio choice and wealth management, asset pricing, risk management, and regulation. Its principal objective is to publish high-quality articles of innovative research and practical application. The readers of Financial Markets and Portfolio Management are academics and professionals in finance and economics, especially in the areas of asset management. FMPM publishes academic and applied research articles, shorter 'Perspectives' and survey articles on current topics of interest to the financial community, as well as book reviews. All article submissions are subject to a double-blind peer review. http://www.fmpm.orgOfficially cited as: Financ Mark Portf Manag
【译文】金融市场与投资组合管理期刊邀请提交所有金融领域的原创研究文章,特别是在但不限于金融市场、投资组合选择和财富管理、资产定价、风险管理以及监管等方面。其主要目标是发表高质量的创新研究与应用文章。金融市场与投资组合管理期刊的读者是金融和经济领域的学者和专业人员,特别是在资产管理领域。

| 指标 | 当前值 | 近三年趋势 |
|---|---|---|
| JCR分区 | Q3 | 暂无 |
| 影响因子区间 | 1-3 | 暂无 |