The Journal of Portfolio Management
About
The 2.6k papers published in The Journal of Portfolio Management in the last decades have received a total of 51.3k indexed citations.
Papers published in The Journal of Portfolio Management usually cover Finance (1.5k papers), Economics and Econometrics (972 papers) and Accounting (552 papers) specifically the topics of Financial Markets and Investment Strategies (1.2k papers), Housing Market and Economics (317 papers) and Market Dynamics and Volatility (283 papers). The most active scholars publishing in The Journal of Portfolio Management are Mark Kritzman, Meir Statman, Clifford S. Asness, Frank J. Fabozzi and David Blitz.
In The Last Decade
Fields of papers published in The Journal of Portfolio Management
Since SpecializationEngineeringComputer SciencePhysics and AstronomyMathematicsEarth and Planetary SciencesEnergyEnvironmental ScienceMaterials ScienceChemical EngineeringChemistryAgricultural and Biological SciencesVeterinaryDecision SciencesArts and HumanitiesBusiness, Management and AccountingSocial SciencesPsychologyEconomics, Econometrics and FinanceHealth ProfessionsDentistryMedicineBiochemistry, Genetics and Molecular BiologyNeuroscienceNursingImmunology and MicrobiologyPharmacology, Toxicology and Pharmaceutics
Countries where authors publish in The Journal of Portfolio Management
Since SpecializationTotal citations of papers
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