
The Journal of Portfolio Management
The Journal of Portfolio Management is a professional publication that publishes research, insights, and strategies related to investment portfolios. It aims to inform financial professionals about the latest developments in asset allocation, risk management, and investment theory. The journal's content helps practitioners make better-informed decisions to optimize returns and manage risks for individual and institutional investors. By focusing on both academic research and real-world application, it serves as a key resource for those involved in managing investment portfolios.