Financial Markets and Portfolio Management

eISSN: 2373-8529pISSN: 1934-4554

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Aims and Scope

Financial Markets and Portfolio Management (FMPM) is a journal publishing original research and survey articles in all areas of finance, especially in financial markets, portfolio theory, wealth management, asset pricing, risk management, and regulation. Its principal objective is to serve as a bridge between innovative research and practical application. The readers of the journal are researcher, economists, asset managers, financial analysts, and other professionals in finance and related areas. Less

Key Metrics

CiteScore
1.6
H-Index
25
SJR
Q2Finance
SNIP
0.61

Journal Specifications

Overview
  • Publisher
    SPRINGER
  • Language
    English
  • Frequency
    Quarterly
General Details
View less

Topics Covered

Private equity
Persistent homology
Minimum variance portfolio
Stock market
Net interest margin

Recently Published Papers

Year-wise Publication

FAQs

Since when has Financial Markets and Portfolio Management been publishing? Faqs

The Financial Markets and Portfolio Management has been publishing since 1987 till date.

How frequently is the Financial Markets and Portfolio Management published? Faqs

Financial Markets and Portfolio Management is published Quarterly.

What is the H-index. SNIP score, Citescore and SJR of Financial Markets and Portfolio Management? Faqs

Financial Markets and Portfolio Management has a H-index score of 25, Citescore of 1.6, SNIP score of 0.61, & SJR of Q2

Who is the publisher of Financial Markets and Portfolio Management? Faqs

The publisher of Financial Markets and Portfolio Management is SPRINGER.

Where can I find a journal's aims and scope of Financial Markets and Portfolio Management? Faqs

For the Financial Markets and Portfolio Management's Aims and Scope, please refer to the section above on the page.

How can I view the journal metrics of Financial Markets and Portfolio Management on editage? Faqs

For the Financial Markets and Portfolio Management metrics, please refer to the section above on the page.

What is the eISSN and pISSN number of Financial Markets and Portfolio Management? Faqs

The eISSN number is 2373-8529 and pISSN number is 1934-4554 for Financial Markets and Portfolio Management.

What is the focus of this journal? Faqs

The journal covers a wide range of topics inlcuding Private equity, Persistent homology, Minimum variance portfolio, Stock market, Net interest margin.

Why is it important to find the right journal for my research? Faqs

Choosing the right journal ensures that your research reaches the most relevant audience, thereby maximizing its scholarly impact and contribution to the field.

Can the choice of journal affect my academic career? Faqs

Absolutely. Publishing in reputable journals can enhance your academic profile, making you more competitive for grants, tenure, and other professional opportunities.

Is it advisable to target high-impact journals only? Faqs

While high-impact journals offer greater visibility, they are often highly competitive. It's essential to balance the journal's impact factor with the likelihood of your work being accepted.