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評價信息:
影響因子:0.7
年發(fā)文量:16
《投資管理雜志》(Journal Of Investment Management)是一本以BUSINESS, FINANCE綜合研究為特色的國際期刊。該刊該刊已被國際重要權(quán)威數(shù)據(jù)庫SCIE收錄。期刊聚焦BUSINESS, FINANCE領域的重點研究和前沿進展,及時刊載和報道該領域的研究成果,致力于成為該領域同行進行快速學術交流的信息窗口與平臺。該刊2023年影響因子為0.7。
The background of the establishment of this magazine is closely related to the continuous development and deepening of the investment management industry. With the development of the global economy and the increasing complexity of financial markets, the importance of investment management has become increasingly prominent. Investors and asset management institutions have an increasing demand for professional investment knowledge, advanced investment strategies, and in-depth market analysis. Journal of Investment Management was born in such an environment, aiming to provide a platform for professionals, scholars, and researchers in the investment field to exchange and share cutting-edge research results, practical experience, and innovative ideas.
Its content is extensive and in-depth, covering various aspects of investment management. Including but not limited to research on investment theories and strategies, such as asset allocation, risk management, portfolio optimization, etc; Investment analysis of different asset classes (such as stocks, bonds, derivatives, etc.); Exploration of market behavior and investment psychology; Investment performance evaluation and measurement; And exploration of emerging investment fields and trends. By publishing high-quality academic papers, research reports, case studies, etc., this journal presents readers with diverse perspectives and the latest developments in the field of investment management.
該雜志創(chuàng)立的背景與投資管理行業(yè)的不斷發(fā)展和深化緊密相連。隨著全球經(jīng)濟的發(fā)展和金融市場的日益復雜,投資管理的重要性愈發(fā)凸顯。投資者和資產(chǎn)管理機構(gòu)對于專業(yè)的投資知識、先進的投資策略以及深入的市場分析有著越來越高的需求?!锻顿Y管理雜志》便在這樣的環(huán)境下誕生,旨在為投資領域的專業(yè)人士、學者和研究人員提供一個交流和分享前沿研究成果、實踐經(jīng)驗及創(chuàng)新理念的平臺。
其內(nèi)容廣泛且深入,涵蓋了投資管理的各個方面。包括但不限于投資理論與策略的研究,如資產(chǎn)配置、風險管理、投資組合優(yōu)化等;對不同資產(chǎn)類別(如股票、債券、衍生品等)的投資分析;市場行為和投資心理的探討;投資績效評估與衡量;以及新興投資領域和趨勢的探索等。通過發(fā)表高質(zhì)量的學術論文、研究報告、案例分析等,該雜志為讀者呈現(xiàn)了投資管理領域的多元視角和最新動態(tài)。
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JCR分區(qū)等級:Q4
按JIF指標學科分區(qū) | 收錄子集 | 分區(qū) | 排名 | 百分位 |
學科:BUSINESS, FINANCE | ESCI | Q4 | 181 / 231 |
21.9% |
按JCI指標學科分區(qū) | 收錄子集 | 分區(qū) | 排名 | 百分位 |
學科:BUSINESS, FINANCE | ESCI | Q4 | 201 / 231 |
13.2% |
Gold OA文章占比 | 研究類文章占比 | 文章自引率 |
0.00% | 100.00% | |
開源占比 | 出版國人文章占比 | OA被引用占比 |
名詞解釋:JCR分區(qū)在學術期刊評價、科研成果展示、科研方向引導以及學術交流與合作等方面都具有重要的價值。通過對期刊影響因子的精確計算和細致劃分,JCR分區(qū)能夠清晰地反映出不同期刊在同一學科領域內(nèi)的相對位置,從而幫助科研人員準確識別出高質(zhì)量的學術期刊。
歷年IF值(影響因子)
歷年引文指標和發(fā)文量
歷年自引數(shù)據(jù)
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