該雜志國際簡稱:FINANC MARK PORTFOLI,是由出版商Springer Nature出版的一本致力于發(fā)布--研究新成果的的專業(yè)學(xué)術(shù)期刊。主要發(fā)表刊登有創(chuàng)見的學(xué)術(shù)論文文章、行業(yè)最新科研成果,扼要報(bào)道階段性研究成果和重要研究工作的最新進(jìn)展,選載對(duì)學(xué)科發(fā)展起指導(dǎo)作用的綜述與專論,促進(jìn)學(xué)術(shù)發(fā)展,為廣大讀者服務(wù)。該刊是一本國際優(yōu)秀雜志,在國際上有很高的學(xué)術(shù)影響力。
《Financial Markets And Portfolio Management》是一本以English為主的未開放獲取國際優(yōu)秀期刊,中文名稱金融市場和投資組合管理,本刊主要出版、報(bào)道領(lǐng)域的研究動(dòng)態(tài)以及在該領(lǐng)域取得的各方面的經(jīng)驗(yàn)和科研成果,介紹該領(lǐng)域有關(guān)本專業(yè)的最新進(jìn)展,探討行業(yè)發(fā)展的思路和方法,以促進(jìn)學(xué)術(shù)信息交流,提高行業(yè)發(fā)展。該刊已被國際權(quán)威數(shù)據(jù)庫SCIE收錄,為該領(lǐng)域相關(guān)學(xué)科的發(fā)展起到了良好的推動(dòng)作用,也得到了本專業(yè)人員的廣泛認(rèn)可。該刊最新影響因子為1.5,最新CiteScore 指數(shù)為3.2。
英文介紹
Financial Markets And Portfolio Management雜志英文介紹
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.
JCR分區(qū)(2023-2024年最新版)
Financial Markets And Portfolio Management雜志 JCR分區(qū)信息