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.
CiteScore measures average citations received per document published in the serial.
Journal's h-index reflects the collective citation impact of the authors publishing in the journal. The h-index is defined as the maximum value of h such that the given journal has published at least h papers that have each been cited at least h times.
SCImago Journal Rank measures weighted citations received by the serial. Citation weighting depends on subject field and prestige (SJR) of the citing serial.
Source Normalized Impact per Paper measures actual citations received relative to citations expected for the serial’s subject field.
Overview | |
Publisher | SPRINGER |
Language | English |
Frequency | Quarterly |
General Details | |
Language | English |
Frequency | Quarterly |
Publication Start Year | 1987 |
Publisher URL | Visit website |
Website URL | Visit website |
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Check my Paper579 articles received 3k citations see all
Financial Markets and Portfolio Management has been in operation since 1987 till date.
Financial Markets and Portfolio Management published with a Quarterly frequency.
In 2024, Financial Markets and Portfolio Management published 22 articles.
For Financial Markets and Portfolio Management,eISSN is 2373-8529 and pISSN is1934-4554.
Citescore for Financial Markets and Portfolio Management is 1.6.
H index for Financial Markets and Portfolio Management is 25.
SNIP score for Financial Markets and Portfolio Management is 0.61.
SJR for Financial Markets and Portfolio Management is Q2.
SPRINGER is the publisher of Financial Markets and Portfolio Management.