Discipline | Finance, investment |
---|---|
Language | English |
Edited by | Brian Bruce |
Publication details | |
History | 1992–present |
Publisher | Portfolio Management Research |
Frequency | Quarterly |
Standard abbreviations | |
ISO 4 | J. Invest. |
Indexing | |
ISSN |
1068-0896 (print) 2168-8613 (web) |
LCCN | 93640512 |
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).
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]
The journal is abstracted and indexed in EBSCO databases, [3] Emerging Sources Citation Index, [4] ProQuest databases, [3] and Scopus. [5]