《Journal Of Investment Management》是一本以English為主的未開放獲取國際優(yōu)秀期刊,中文名稱投資管理雜志,本刊主要出版、報道領(lǐng)域的研究動態(tài)以及在該領(lǐng)域取得的各方面的經(jīng)驗和科研成果,介紹該領(lǐng)域有關(guān)本專業(yè)的最新進展,探討行業(yè)發(fā)展的思路和方法,以促進學(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作用,也得到了本專業(yè)人員的廣泛認可。該刊最新影響因子為0.7,
英文介紹
Journal Of Investment Management雜志英文介紹
The background of the establishment of this magazine is closely related to the continuous development and deepening of the investment management industry. With the development of the global economy and the increasing complexity of financial markets, the importance of investment management has become increasingly prominent. Investors and asset management institutions have an increasing demand for professional investment knowledge, advanced investment strategies, and in-depth market analysis. Journal of Investment Management was born in such an environment, aiming to provide a platform for professionals, scholars, and researchers in the investment field to exchange and share cutting-edge research results, practical experience, and innovative ideas.
Its content is extensive and in-depth, covering various aspects of investment management. Including but not limited to research on investment theories and strategies, such as asset allocation, risk management, portfolio optimization, etc; Investment analysis of different asset classes (such as stocks, bonds, derivatives, etc.); Exploration of market behavior and investment psychology; Investment performance evaluation and measurement; And exploration of emerging investment fields and trends. By publishing high-quality academic papers, research reports, case studies, etc., this journal presents readers with diverse perspectives and the latest developments in the field of investment management.