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文献信息
The journal Financial Markets and Portfolio Management invites submissions of original research articles in all areas of finance, especially in – but not limited to – financial markets, portfolio choice and wealth management, asset pricing, risk management, and regulation. Its principal objective is to publish high-quality articles of innovative research and practical application. The readers of Financial Markets and Portfolio Management are academics and professionals in finance and economics, especially in the areas of asset management.
Stock ReturnsTransaction CostsStock MarketFinancial MarketsAsset PricingPortfolio ManagementPortfolio OptimizationHedge FundsPortfolio SelectionAsset AllocationCorporate GovernanceExpected ReturnsGerman StockCredit RiskBehavioral FinanceAbnormal ReturnsHedge FundPortfolio DiversificationFund PerformanceEmpirical Evidence
vol.39 (2025)
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vol.19 (2005)