JOURNAL OF PORTFOLIO MANAGEMENT 期刊简介

JOURNAL OF PORTFOLIO MANAGEMENT
英文简介:

The Journal of Portfolio Management (JPM) is a definitive source of thought-leading analyses and practical techniques that many institutional investors turn to for insight on the financial markets. Every issue of the JPM features articles by highly-renowned academics, researchers, and practitioners—including Nobel laureates—whose works define modern portfolio theory. The JPM offers cutting-edge research on all major topics in investments, including asset allocation, performance measurement, market trends, portfolio optimization, and risk management. The topics to be included, but are not limited to, asset allocation, portfolio construction, security selection, risk management, performance measurement, controlling transaction costs, portfolio optimization, quantitative asset techniques, factor-based investing, and back testing methodologies. The purpose of the invited editorials in each quarterly issue is to cover important issues facing the profession. Periodically the journal publishes a special issue on topics of current interest to the investment community.

中文简介:(来自Google、百度翻译)

《投资组合管理杂志》(JPM)是许多机构投资者用来洞察金融市场的思想主导分析和实用技术的权威来源。JPM的每一期都以著名学者、研究人员和从业人员的文章为特色,包括诺贝尔奖获得者,他们的作品定义了现代投资组合理论。摩根大通对投资领域的所有主要主题进行前沿研究,包括资产配置、绩效衡量、市场趋势、投资组合优化和风险管理。包括但不限于:资产配置、投资组合构建、证券选择、风险管理、绩效衡量、控制交易成本、投资组合优化、定量资产技术、基于因素的投资和后验方法。每季度邀请的社论的目的是涵盖行业面临的重要问题。该杂志定期出版一期关于投资界当前感兴趣的专题的专刊。

期刊ISSN
0095-4918
影响指数
0.667
最新CiteScore值
1.50 查看CiteScore评价数据
最新自引率
N.A.
官方指定润色网址
https://www.deeredit.com/?type=ss1
投稿语言要求

Improve the quality of the paper, eliminate grammar and spelling errors, increase readability, ensure accurate communication of viewpoints, enhance academic reputation, and increase the chances of the paper being accepted.

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期刊官方网址

hot

https://www.peipusci.com/?type=9
杂志社征稿网址

hot

https://www.peipusci.com/?type=10
通讯地址
偏重的研究方向(学科)
Economics, Econometrics and Finance-Finance
出版周期
出版年份
0
出版国家/地区
是否OA
No
SCI期刊coverage
Science Citation Index Expanded(科学引文索引扩展)
NCBI查询
PubMed Central (PMC)链接 全文检索(pubmed central)
JOURNAL OF PORTFOLIO MANAGEMENT 期刊中科院JCR 评价数据
最新中科院JCR分区
大类(学科)
小类(学科)
综述期刊
经济学
BUSINESS, FINANCE (商业:财政与金融)4区
最新的影响因子
0.667
最新公布的期刊年发文量
年度总发文量 研究类文章占比
0 0.00%
总被引频次 0
影响因子趋势图
近年的影响因子趋势图(整体平稳趋势)

2022年预警名单预测最新

JOURNAL OF PORTFOLIO MANAGEMENT 期刊CiteScore评价数据
最新CiteScore值
1.50
年文章数 0
SJR
0.914
SNIP
1.113
CiteScore排名
序号 类别(学科) 排名 百分位
1 Economics, Econometrics and Finance Finance #153/288
2 Economics, Econometrics and Finance Economics and Econometrics #364/661
3 Economics, Econometrics and Finance Business, Management and Accounting (all) #125/218
4 Economics, Econometrics and Finance Accounting #102/155
CiteScore趋势图
CiteScore趋势图
JOURNAL OF PORTFOLIO MANAGEMENT 投稿经验(由下方点评分析获得,0人参与,2076人阅读)
投稿录用比例: 0.001000
审稿速度: 暂无
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