Aims and Scope of Journal of Portfolio Management
The Journal of Portfolio Management (also known as JPM) is a quarterly academic journal covering asset allocation, performance measurement, market trends, risk management, and portfolio optimization. The journal was established in 1974 by Peter L. Bernstein. The current editor-in-chief is Frank J. Fabozzi (Yale University). Less
Key Metrics
CiteScore 

1.9
SJR 

Q3Finance

SNIP 

1.32
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Topics Covered on Journal of Portfolio Management
Journal of Portfolio Management Journal Specifications
Indexed in the following public directories
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Scopus
SJR
| Overview | |
| Publisher | PAGEANT MEDIA LTD |
| Language | English |
| Frequency | Bi-monthly |
| General Details |
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Recently Published Papers in Journal of Portfolio Management
Financial Network and Industry Connectedness
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- 19 Mar 2026
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One Message, Many Audiences: Tailoring Investment Communication
- 4 Mar 2026
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Financial Network and Industry Connectedness
- 9 Jun 2026
- The Journal of Portfolio Management
The Tokenization Paradox: Why Faster Isn’t Always Safer
- 25 May 2026
- The Journal of Portfolio Management
Materiality-Weighted Portfolio Carbon Footprint: A More Accurate Measure for Transition Risk
- 16 May 2026
- The Journal of Portfolio Management
Structural Benchmark Drift and Hidden Peer Risk: Governance Implications for Active Equity Management
- 23 Mar 2026
- The Journal of Portfolio Management
Governance, Scale, and Boutique Resilience in a Consolidating Hedge Fund Industry
- 19 Mar 2026
- The Journal of Portfolio Management
One Message, Many Audiences: Tailoring Investment Communication
- 4 Mar 2026
- The Journal of Portfolio Management
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