SCIESCOPUSQ3
Financial Markets and Portfolio Management
SPRINGER, United States
Financial Markets and Portfolio Management is an academic journal published by SPRINGER (United States). Identifiers: ISSN 1934-4554, eISSN 2373-8529. Indexed in SCIE, SCOPUS. Metrics: JIF 1.8, CiteScore 3.8, SJR 0.423, SNIP 0.95. Subject areas: BUSINESS, FINANCE. tlooto lists 705 papers from this journal.
CiteScore
3.80
Scopus citation metric
SJR
0.423
SCImago rank
SNIP
0.95
Source normalized impact
Percentage rank
-
JIF percentile rank
Journal profile
- ISSN
- 1934-4554
- eISSN
- 2373-8529
- Abbreviation
- FINANC MARK PORTFOLI
- Publisher
- SPRINGER
- Country
- United States
Web of Science categories
No Web of Science category data available.
Scopus ASJC categories
1402 Accounting2003 Finance
Papers in this journal
Recent papers
- Accuracy of research analyst estimates surrounding M&A-transactions
2026
- When simplicity beats optimization: evidence from factor timing, volatility management, and the 1/N benchmark
2026 · 1 citations
- The Bubble Crash-GARCH model
2026
- Investor-level common ownership, stock return comovement, and competition
2026
- Behavioral performance attribution of retail investors’ portfolio returns
2026
Most cited papers
- Google search volume and its influence on liquidity and returns of German stocks
2011 · 295 citations
- The performance of socially responsible investments: Investment funds and indices
2004 · 200 citations
- Corporate cash holdings: Evidence from Switzerland
2007 · 197 citations
- Empirical cross-sectional asset pricing: a survey
2011 · 126 citations
- COVID-19’s impact on real estate markets: review and outlook
2021 · 123 citations