Financial markets and portfolio management
About
The 379 papers published in Financial markets and portfolio management in the last decades have received a total of 4.1k indexed citations.
Papers published in Financial markets and portfolio management usually cover Finance (298 papers), Economics and Econometrics (172 papers) and Accounting (135 papers) specifically the topics of Financial Markets and Investment Strategies (199 papers), Corporate Finance and Governance (96 papers) and Market Dynamics and Volatility (66 papers). The most active scholars publishing in Financial markets and portfolio management are Manuel Ammann, Wolfgang Drobetz, Bernd Scherer, Markus Spiwoks and Momtchil Pojarliev
In The Last Decade
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