Journal of Portfolio Management

Business, Management and Accounting · Economics, Econometrics and Finance

Impact Factor
1.242
2023
H-Index
60.000
2023
SJR
0.735
2023

I. Journal Information

ISSN954918
CountryUnited States
PublisherInstitutional Investor Systems
Subject AreasBusiness, Management and Accounting · Economics, Econometrics and Finance
Publication TypeJournals
Active Years1995-ongoing
WebsiteVisit journal
JIF 2022–20231.100
2019-2020 SCR Rank11042

II. Scope & Description

Founded by Peter Bernstein in 1974, The Journal of Portfolio Management (JPM) is the definitive source of thought-provoking analysis and practical techniques in institutional investing. It offers cutting-edge research on asset allocation, performance measurement, market trends, risk management, portfolio optimization, and more. Each quarterly issue of JPM features articles by the most renowned researchers and practitioners—including Nobel laureates—whose works define modern portfolio theory.

III. Impact Factor History

Year2-Year IF3-Year IF4-Year IF
20231.2421.4961.788
20221.3761.7231.621
20211.6351.5311.649
20201.0451.1781.230
20190.7870.8400.874
20180.6290.7500.791
20170.8400.7940.839
20160.5890.7240.769
20150.6620.8291.000
20140.581
20130.765
20120.828
20110.661
20100.626
20090.613
20080.230
20070.400
20060.402
20050.678
20040.400
20030.518
20020.403
20010.357
20000.471

Note: impact factor data for reference only.

IV. SCImago Journal Rank (SJR)

SJR measures scientific influence, weighting citations by the prestige of the citing journal.

YearSJR Score
20230.735
20220.688
20210.773
20200.914
20190.379
20180.475
20170.486
20161.078
20150.899

V. H-Index

The H-Index measures both the productivity and citation impact of a journal's publications.

YearH-Index
202360.000
202257.000
202153.000
202050.000

How to Get Published

https://www.editorialmanager.com/iij-jpm/default.aspx