The Journal of Portfolio Management
Last updated ISSN 0095-4918
The Journal of Portfolio Management is published by Euromoney Institutional Investor in economics, econometrics and finance. It is a subscription journal. Its article processing charge is not published.
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What it publishes
Recent work in The Journal of Portfolio Management concentrates on these topics, taken from its published record rather than from its own description:
- Financial Markets and Investment Strategies
- Housing Market and Economics
- Market Dynamics and Volatility
- Insurance and Financial Risk Management
- Corporate Finance and Governance
- Financial Reporting and Valuation Research
- Monetary Policy and Economic Impact
- Stochastic processes and financial applications
- Financial Risk and Volatility Modeling
- Complex Systems and Time Series Analysis
Key facts
| Publisher | Euromoney Institutional Investor |
|---|---|
| ISSN | 0095-4918, 2168-8656 |
| Subject area | Economics, Econometrics and Finance |
| Access | Subscription |
| Article processing charge | Not published |
| Indexed in | Scopus |
| Articles published | 3,648 |
| Publishing since | 1974 |
| Journal website | www.iijournals.com/JPM/ |
Facts come from OpenAlex, DOAJ and Wikidata and may lag the journal’s own pages. Check the publisher’s site before submitting. Indexing shown here is what is recorded, not a complete picture — about a third of journals have no indexing recorded anywhere we can read, so “not recorded” does not mean a journal is absent from Scopus or Web of Science.
Journals like The Journal of Portfolio Management
Other established journals in economics, econometrics and finance, if this one is not the right home for your paper:

