Financial Markets and Portfolio Management

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Journal Properties
  • Number of Articles
    28
  • Abbreviation
    Financ Mark Portf Manag
  • ISSN
    1555-4961
  • e-ISSN
    1555-497X
  • Publisher
    Springer Science and Business Media LLC
  • Indian UGC
  • DOAJ (latest)
Description
Financial Markets and Portfolio Management offers a comprehensive exploration of the latest developments in investment strategy, asset pricing, and financial market dynamics. Targeting finance professionals, academics, and institutional investors, the journal bridges theoretical research with practical applications. The publication features cutting-edge analysis and empirical studies that shape investment decisions and strategies in a constantly evolving global landscape. Its scope encompasses asset allocation, portfolio optimization, risk management, derivative pricing, and market microstructure. It also delves into behavioral finance, financial econometrics, and international finance, providing a holistic view of the financial ecosystem. Indexed in leading financial databases, Financial Markets and Portfolio Management ensures that its content reaches a broad, relevant audience. If you are seeking to enhance your expertise and contribute to the future of finance, consider submitting your original research. Explore its impact on financial markets and portfolio construction by highlighting open access opportunities. This journal is committed to fostering innovation and informing best practices within the financial industry.