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The official publication of the Swiss Financial Analysts Association, 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. The journal serves as a bridge between innovative research and its practical applications. FMPM publishes academic and applied research articles, shorter "Perspectives," book reviews, and survey articles dedicated to current topics of interest to the financial community. Officially cited as: Financ Mark Portf Manag 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 Serves as a bridge between innovative research and its practical applications Official publication of the Swiss Financial Analysts Association
vol.38 (2024)
vol.38 (2023)
vol.37 (2023)
vol.37 (2022)
vol.36 (2022)
vol.35 (2021)
vol.34 (2020)
vol.33 (2019)
vol.32 (2018)
vol.31 (2017)
vol.30 (2016)
vol.29 (2015)
vol.28 (2014)
vol.27 (2013)
vol.26 (2012)
vol.25 (2011)
vol.24 (2010)
vol.23 (2009)
vol.22 (2008)
vol.21 (2007)
vol.20 (2006)
vol.19 (2005)
vol.18 (2004)
vol.17 (2003)
vol.16 (2002)
vol.15 (2001)