The Journal of Investing publishes research on investment strategies, portfolio management, and financial market analysis. Articles explore topics such as mutual fund performance evaluation using financial ratios, private equity in emerging markets, optimal asset allocation for different investor profiles, and the impact of macroeconomic surprises on financial markets. The journal also covers areas like ETF sector rotation, the equity risk premium, stock market anomalies, and the influence of ESG scores on company value and volatility.
Based on the Think.Check.Submit framework by DOAJ, COPE & OASPA. All data from verified open sources.
Publication & Citation Trend
Articles published
Times cited
2019
2020
2021
2022
2023
2024
2025
2026
Source: OpenAlex · Note: citations accumulate over time so older years appear higher
SJR Quartile by Discipline
Scimago ranks this journal separately in each subject category — its quartile can differ by discipline.
FinanceQ3
Management of Technology and InnovationQ4
Strategy and ManagementQ4
Subject Classification
Web of Science Categories
Business, Finance
Scopus Categories
FinanceManagement of Technology and InnovationStrategy and Management
Research Topics (OpenAlex)
Financial Markets and Investment StrategiesCorporate Finance and GovernanceFinancial Reporting and Valuation ResearchMarket Dynamics and VolatilityAuditing, Earnings Management, GovernanceHousing Market and EconomicsFinancial Literacy, Pension, Retirement AnalysisInsurance and Financial Risk ManagementMonetary Policy and Economic ImpactPrivate Equity and Venture Capital