HomeSearchFinancial Markets and Portfolio Management

Financial Markets and Portfolio Management

Springer New York · United States · Est. 2001

ISSN1934-4554eISSN2373-8529
SJR Q3WOS ESCIScopus / SJR
Impact Factor & Quartile · Web of Science (JCR)

✓ Indexed in the Web of Science Core Collection (ESCI) — Clarivate publishes an official Journal Impact Factor and JCR quartile for this journal.

See the official Impact Factor & quartile on the journal’s page ↗

The Impact Factor & JCR quartile are licensed by Clarivate — we link you to the official source instead of reprinting a number that can go out of date. Open metrics below: SCImago Q3. Source: Clarivate Journal Citation Reports.

📊 Standing in its field
Where this journal ranks among others in the same subject area.
Q3
SJR · Scopus
Top 75% in field
Clarivate’s JCR quartile is a separate ranking and may differ
SJR Scorei
0.343
H-Indexi
39
SNIPi
0.949
Total Worksi
587
Total Citationsi
6,223
2yr Mean Citednessi
0.63
Open Impact Factor alternative

Aims & Scope

Financial Markets and Portfolio Management (FMPM), addresses all areas of finance, including financial markets, portfolio theory and wealth management, asset pricing, corporate finance, corporate governance, alternative investments, risk management, and regulation. Official publication of the Swiss Financial Analysts Association. Serves as a bridge between innovative research and its practical applications. Publishes academic and applied research articles, shorter 'Perspectives,' book reviews, and survey articles dedicated to current topics of interest to the financial community.

General Information

Country / RegionUnited States
Primary LanguageEnglish
1st Year Published2001
Annual Volume~ 23 articles / year
StatusActive (last: 2025)
Total Publications587
Publisher OrgSpringer Science+Business Media
Visit Journal Website

Submission Info

Peer Review
OA License
OA Rate

Ethics & Quality

COPE Member✗ No
OASPA Member✗ No
Not on Predatory Lists✓ Yes

Think.Check.Submit Compliance

6/11 · 55%
Do you know the journal / publisher?
Springer New York
Does the journal have a website?
✓ Linked
Is the ISSN verified?
1934-4554 / 2373-8529
Indexed in a trusted database?
WoS, Scopus
Peer review process documented?
N/A
Follows ethical publishing standards (COPE)?
N/A
Not on predatory/blacklists?
✓ Clean
Long-term digital preservation?
N/A
Plagiarism detection in place?
N/A
Listed in DOAJ (verified OA)?
N/A
Primary language documented?
English

A twelfth criterion — whether APC fees are clearly disclosed — is not scored here; it is left out of the total rather than counted as a failure. Publication charges appear in the metrics card above.

Based on the Think.Check.Submit framework by DOAJ, COPE & OASPA. All data from verified open sources.

Publication & Citation Trend

Articles published
Citations received
19
378
2019
26
405
2020
30
271
2021
22
208
2022
17
80
2023
24
33
2024
27
14
2025
10
3
2026

Source: OpenAlex · Each year’s green bar = citations earned by that year’s papers, counted to date — so recent years look lower simply because their papers haven’t had time to be cited yet.

SJR Quartile by Discipline

Scimago ranks this journal separately in each subject category — its quartile can differ by discipline.

AccountingQ3
FinanceQ3

Subject Classification

Web of Science Categories

Business, Finance

Scopus Categories

FinanceAccounting

Research Topics (OpenAlex)

Financial Markets and Investment StrategiesCorporate Finance and GovernanceBanking stability, regulation, efficiencyMarket Dynamics and VolatilityFinancial Risk and Volatility ModelingMonetary Policy and Economic ImpactStochastic processes and financial applicationsCredit Risk and Financial RegulationsHousing Market and EconomicsComplex Systems and Time Series Analysis

Frequently asked questions about Financial Markets and Portfolio Management

Is Financial Markets and Portfolio Management a predatory journal?

PubScope has no integrity flags on record for Financial Markets and Portfolio Management: it is indexed in Web of Science, Scopus, and is not on DOAJ's withdrawn list. Indexing is a transparency signal, not a guarantee — always confirm fit and policies before submitting.

What is the impact factor of Financial Markets and Portfolio Management?

Financial Markets and Portfolio Management is indexed in the Web of Science Core Collection, so Clarivate publishes an official Journal Impact Factor for it (since the 2023 Journal Citation Reports, every Core Collection journal — including Arts & Humanities and Emerging Sources titles — receives one). PubScope links to Clarivate's official source rather than reprinting the number, which can be out of date. Its open 2-year mean citedness is 0.63.

Is Financial Markets and Portfolio Management indexed in Scopus and Web of Science?

Financial Markets and Portfolio Management is indexed in Web of Science, Scopus.

What is the aims and scope of Financial Markets and Portfolio Management?

Financial Markets and Portfolio Management (FMPM), addresses all areas of finance, including financial markets, portfolio theory and wealth management, asset pricing, corporate finance, corporate governance, alternative investments, risk management, and regulation. Official publication of the Swiss Financial Analysts Association. Serves as a bridge between innovative research and its practical applications. Publishes academic and applied research articles, shorter 'Perspectives,' book reviews, and survey articles dedicated to current topics of interest to the financial community.

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How to tell if a journal is predatoryWhat Q1–Q4 quartiles meanWeb of Science vs Scopus vs DOAJWhat is an APC?

Data updated: 2026-05-22 · Sources: SJR, DOAJ, OpenAlex, WoS, Crossref