The Journal of Portfolio Management
| Discipline | Finance, investment |
|---|---|
| Language | English |
| Edited by | Frank J. Fabozzi |
| Publication details | |
| History | 1974–present |
| Publisher | Portfolio Management Research |
| Frequency | Quarterly |
| 1.4 (2022) | |
| Standard abbreviations | |
| ISO 4 | J. Portf. Manag. |
| Indexing | |
| ISSN | 0095-4918 (print) 2168-8656 (web) |
| LCCN | 74648389 |
| OCLC no. | 1796505 |
| Links | |
The Journal of Portfolio Management is a quarterly academic journal for finance and investing, covering topics such as asset allocation, performance measurement, market trends, risk management, and portfolio optimization. The journal was established in 1974 by Peter L. Bernstein. The editor-in-chief is Frank J. Fabozzi (Yale University).