ISSN: 1555-4961
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Financial Markets and Portfolio Management Q4 Unclaimed
Financial Markets and Portfolio Management is a journal indexed in SJR in Accounting and Finance with an H index of 20. It has a price of 2190 €. It has a best quartile of Q4. It is published in English.
Type: Journal
Type of Copyright:
Languages: English
Open Access Policy: Open Choice
Type of publications:
Publication frecuency: -

2190 €
Inmediate OANPD
Embargoed OA0 €
Non OAMetrics
-
SJR Impact factor20
H Index15
Total Docs (Last Year)49
Total Docs (3 years)739
Total Refs20
Total Cites (3 years)48
Citable Docs (3 years)22
Cites/Doc (2 years)4927.0
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Aims and Scope
Best articles by citations
Performance measurement of equity funds - Do the SPPS enhance transparency?
View moreIntraday market liquidity on the Swiss Stock Exchange
View moreVorsorge und Aktienmarkt: Die Zeit der Illusionen ist vorbei
View moreDoes the stock market still lead real activity? - An investigation for the G-7 countries
View moreHow to avoid the pitfalls in portfolio optimization? Putting the Black-Litterman approach at work
View moreZur Schätzung der Fristenstruktur von Credit Spreads
View moreDelta Hedging bei stochastischer Volatilität in diskreter Zeit
View moreInvestment time horizon and asset allocation models
View moreIntervention reaction functions in the dollar-deutschmark market
View moreDo risk-adjusted pricing and the new Basel capital accord reinforce the credit cycle?
View moreChancen und Risiken in den Finanzmärkten
View moreSteuerung der Geldmarktsätze durch die Schweizerische Nationalbank
View moreThe impact of the Euro on the return structure of European equity markets
View moreDie Kalkulation ausfallrisikobedrohter Finanztitel mit Rating-übergangsmatrizen
View moreDiversification: Based on sectors or countries?
View moreIn Memoriam: Daniel Wydler (1957-2003)
View moreOn Swiss timing and selectivity: In the quest of alpha
View moreReturn enhancement trading strategies for size based portfolios
View moreThe transformation of European banking
View moreApplying multivariate time series forecasts for active portfolio management
View more
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