Financial Markets and Portfolio Management
Financial Markets and Portfolio Management
期刊ISSN: 1934-4554
E-ISSN: 2373-8529
影响因子: 登录后查看数据
自引率: 5.6%
SCI期刊JCR分区
SCI期刊JCR分区等级:2区
按学科分区
BUSINESS, FINANCE
Q2
BUSINESS, FINANCE
Q3
《新锐期刊分区表》(2026年3月发布)
大类学科
经济学
3区
小类学科
商业:财政与金融
3区
Top期刊
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
4区
小类学科
商业:财政与金融
4区
Top期刊
综述期刊
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.org Officially cited as: Financ Mark Portf Manag
出版信息
出版商
Springer Nature
涉及的研究方向
BUSINESS, FINANCE-
刊期
4 issues per year
年文章数
18
是否OA
Cite Score(2025年最新版)
Cite Score SJR SNIP 排名
3.8 0.423 0.949
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
Q2
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