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Financial Markets and Portfolio Management : Impact Factor & More

eISSN: 2373-8529pISSN: 1934-4554

Aims and Scope of Financial Markets and Portfolio Management

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
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Topics Covered on Financial Markets and Portfolio Management

Financial Markets and Portfolio Management Journal Specifications

Overview
Publisher SPRINGER
Language English
Frequency Quarterly
General Details
LanguageEnglish
FrequencyQuarterly
Publication Start Year1987
Publisher URLVisit website
Website URLVisit website
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Recently Published Papers in Financial Markets and Portfolio Management

The effective cost of capital buffers for UBS: a reappraisal based on empirical research
  • 24 Apr 2026
  • Financial Markets and Portfolio Management
Long-term equity investing and withdrawal rules
  • 17 Feb 2026
  • Financial Markets and Portfolio Management
Text based hierarchical risk parity (TBHRP)
  • 27 Dec 2025
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The impact of monetary policy on stock prices: gaining momentum or losing steam?
  • 26 Dec 2025
  • Financial Markets and Portfolio Management
Alejandro lopez-lira. the predictive edge: outsmart the market using generative AI and ChatGPT in financial forecasting. hoboken, NJ: John Wiley & Sons, 2024. ISBN 978–1-394–24,271-9 (hardcover), USD 35, approx. EUR 33
  • 28 Oct 2025
  • Financial Markets and Portfolio Management
What drives venture capitalists to stray from their preferred investment industries?
  • 24 Oct 2025
  • Financial Markets and Portfolio Management
The effective cost of capital buffers for UBS: a reappraisal based on empirical research
  • 24 Apr 2026
  • Financial Markets and Portfolio Management
Long-term equity investing and withdrawal rules
  • 17 Feb 2026
  • Financial Markets and Portfolio Management
Text based hierarchical risk parity (TBHRP)
  • 27 Dec 2025
  • Financial Markets and Portfolio Management
The impact of monetary policy on stock prices: gaining momentum or losing steam?
  • 26 Dec 2025
  • Financial Markets and Portfolio Management
Alejandro lopez-lira. the predictive edge: outsmart the market using generative AI and ChatGPT in financial forecasting. hoboken, NJ: John Wiley & Sons, 2024. ISBN 978–1-394–24,271-9 (hardcover), USD 35, approx. EUR 33
  • 28 Oct 2025
  • Financial Markets and Portfolio Management
What drives venture capitalists to stray from their preferred investment industries?
  • 24 Oct 2025
  • Financial Markets and Portfolio Management

FAQs on Financial Markets and Portfolio Management