Finance:The Journal of Investing

From HandWiki
The Journal of Investing  
2021 cover J Invest.jpg
|Subject |Discipline}}Finance, investment
LanguageEnglish
Edited byBrian Bruce
Publication details
History1992–present
Publisher
Portfolio Management Research
FrequencyQuarterly
Standard abbreviations
ISO 4J. Invest.
Indexing
ISSN1068-0896 (print)
2168-8613 (web)
LCCN93640512
OCLC no.231871201
Links

The Journal of Investing is a quarterly peer-reviewed academic journal that covers research on investment management, asset allocation, performance measurement, benchmarking, mutual funds, investing strategies such as 130/30 funds, global allocation, and practical investment ideas and portfolio strategies for the institutional buy-side such as pension funds. It is published by Portfolio Management Research and the editor-in-chief is Brian R. Bruce (Hillcrest Asset Management).

Reception

The School of Management of Cranfield University ranked the journal C (on a scale of A to D) in an internal document recommending outlets for management and business research to their faculty.[1] Similarly, a 2011 ranking of finance journals by Cranfield classed the journal 2 (on a scale of 1 to 4, with 4 being the highest).[2]

Abstracting and indexing

The journal is abstracted and indexed in EBSCO databases,[3] Emerging Sources Citation Index,[4] ProQuest databases,[3] and Scopus.[5]

References

External links