Financial Markets and Portfolio Management (FMPM)
Journal Descriptions
The journal Financial Markets and Portfolio Management invites submissions of original research articles in all areas of finance, especially in – but not limited to – financial markets, portfolio choice and wealth management, asset pricing, risk management, and regulation. Its principal objective is to publish high-quality articles of innovative research and practical application. The readers of Financial Markets and Portfolio Management are academics and professionals in finance and economics, especially in the areas of asset management. FMPM publishes academic and applied research articles, shorter "Perspectives" and survey articles on current topics of interest to the financial community, as well as book reviews. All article submissions are subject to a double-blind peer review.
Financial Markets and Portfolio Management (FMPM) is :-
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International, Peer-Reviewed, Open Access, Refereed, Finance, Accounting, financial markets, portfolio theory and optimization, wealth management, asset pricing, corporate finance, risk measurement, financial regulation, alternative investments, conomists, portfolio managers, analysts, policymakers , Online or Print , Quarterly Journal
- UGC Approved, ISSN Approved: P-ISSN P-ISSN: 1555-4961, E-ISSN: 1555-497X, Established: 1987, Impact Factor: 1.8
- Does Not Provide Crossref DOI
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Not indexed in Scopus, WoS, DOAJ, PubMed, UGC CARE