Financial Markets and Portfolio Management
短名 | Financ Mark Portf Manag |
Journal Impact | 1.41 |
国际分区 | BUSINESS, FINANCE(Q3) |
ISSN | 1934-4554, 2373-8529 |
h-index | 27 |
《金融市场和投资组合管理》杂志邀请提交所有金融领域的原创研究文章,特别是但不限于金融市场、投资组合选择和财富管理、资产定价、风险管理和监管。其主要目标是发表高质量的创新研究和实际应用文章。金融市场和投资组合管理的读者是金融和经济学领域的学者和专业人士,尤其是资产管理领域。 FMPM 发表学术和应用研究文章、较短的“观点”和关于金融界当前感兴趣的主题的调查文章,以及书评。所有文章提交均需经过双盲同行评审。 HTTP://WWW.FMPM.ORG 官方引用为:FINANC MARK PORTF MANAG
期刊主页投稿网址涉及主题 | 经济业务财务金融经济学数学计量经济学货币经济学计算机科学历史地理宏观经济学考古政治学工程类法学统计物理哲学生物文件夹 |
出版信息 | 出版商: Springer New York,出版周期: 4 issues per year,期刊类型: journal |
基本数据 | 创刊年份: 2006,原创研究文献占比: 100.00%,自引率:0.00%, Gold OA占比: 51.06% |
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