Login
Login
切换导航
Home
Articles
Journals
Books
News
About
Services
Submit
Home
Journals
Citations
Journals Menu
Aims & Scope
Articles
Archive
Editorial Board
Publication Fees
Indexing
Guidelines & Policies
Author Guidelines
Reviewer Guidelines
Editorial Policies
Publication Ethics
Follow SCIRP
Contact us
[email protected]
+86 18163351462
(WhatsApp)
1655362766
SCIRP WeChat
Journal of Financial Risk Management
Submission
Journal of Financial Risk Management
ISSN Print:
2167-9533
ISSN Online:
2167-9541
www.scirp.net/journal/jfrm
E-mail:
[email protected]
Google-based Impact Factor:
1.92
Citations
Journals Menu
Aims & Scope
Articles
Archive
Editorial Board
Publication Fees
Indexing
Guidelines & Policies
Author Guidelines
Reviewer Guidelines
Editorial Policies
Publication Ethics
"
Portfolio Risk Management Implications of Mutual Fund Investment Objective Classifications
"
written by
Larry J. Prather
,
published by
Journal of Financial Risk Management
,
Vol.1 No.3, 2012
has been cited by the following article(s):
Google Scholar
CrossRef
[1]
A STUDY ON INVESTMEN PERCEPTION AND T BEHAVIOURS OF MUTUAL FUND INVESTORS OF SALEM DISTRICT
International Journal of …
,
2020
[2]
A STUDY ON INVESTMENT PERCEPTION AND BEHAVIOURS OF MUTUAL FUND INVESTORS OF SALEM DISTRICT
International Journal of …
,
2020
[3]
Sharia Mutual Fund Performance, Foreign Ownership and Investment Ability
AFEBI Islamic Finance and Economic Review
,
2019
[4]
Using Risk Characteristics to Classify Funds
2018
[5]
Stock Composition of Mutual Funds and Fund Style: A Time Series Decomposition Approach Towards Testing for Consistency
2017
[6]
Asian Research Consortium
2016
[7]
Are the ASISA Standards with Respect to Unit Trust Classification Representative of Homogeneous Risk Classes?
2016
[8]
An Analysis of Risk Measurement Techniques of Selected Mutual Fund Schemes in India
2016
[9]
A Comparative Study on Performance of Selected Mutual Funds with reference to Indian Context
2016
[10]
ANALYSIS OF MUTUAL FUNDS AND PORTFOLIO MANAGEMENT WITH SPECIAL REFERENCE TO SBI FUND MANAGEMENT PVT LTD
Anusandhan The Research Repository
,
2015
[11]
SHARIA MUTUAL FUND PERFORMANCE APPROACHES FROM INFLUENCE
[1]
Are the ASISA Standards with Respect to Unit Trust Classification Representative of Homogeneous Risk Classes?
Journal of Financial Risk Management
,
2016
DOI:
10.4236/jfrm.2016.52008
Special Issues
Open Special Issues
Published Special Issues
Special Issues Guideline
Most Cited
Most Downloaded
Newsletter
Order Print Copy
Contact Us
FAQ
Disclaimer
History Issue
Special Issues
Open Special Issues
Published Special Issues
Special Issues Guideline
Follow SCIRP
Contact us
[email protected]
+86 18163351462(WhatsApp)
1655362766
Paper Publishing WeChat
SCIRP Newsletter
Home
Journals A-Z
Subject
Books
Sitemap
Contact Us
News
About SCIRP
Ethics
Editorial Policies
For Authors
Peer-Review Issues
Publication Fees
Special Issues
Service
Manuscript Tracking System
Order Print Copies
Translation & Proofreading
FAQ
Volume & Issue
Policies
Open Access
Publication Ethics
Preservation
Retraction
Privacy Policy
Copyright © 2006-2026 Scientific Research Publishing Inc. All Rights Reserved.
Top