Springer Nature

Financial markets and portfolio management Template

Write in a clean editor, then format for Financial markets and portfolio management in one click — DocuGuru applies the official Springer Nature template with author–year references and exports a submission-ready PDF plus the editable LaTeX source. Free to start.

About the Financial markets and portfolio management format

Financial markets and portfolio management is a peer-reviewed journal published by Springer Nature, covering Financial Markets and Investment Strategies, Corporate Finance and Governance, Banking stability, regulation, efficiency.

PublisherSpringer Nature
Reference styleAuthor–year (Springer)
Author–year — (Smith, 2023) in the text
Smith, A., Jones, B. and Lee, C. (2023) 'A representative article title', Financial markets and portfolio management, 12(3), pp. 45–58.

Formats any DOI in the closest standard style — Financial markets and portfolio management has no published style definition, so this is an approximation. No sign-up.

Publishes research inFinancial Markets and Investment Strategies Corporate Finance and Governance Banking stability, regulation, efficiency Market Dynamics and Volatility Financial Risk and Volatility Modeling
ISSN1555-4961
Citation impact (2-yr)0.8
h-index40
i10-index178
Total citations6,688
Article processing charge$2,890
Top institutions publishing hereUniversity of St.Gallen
Journal websitewww.springer.com
You getA submission-ready PDF and the editable LaTeX source — ready to submit.

Papers published in Financial markets and portfolio management per year

1
1994
1
1999
18
2001
1
2003
9
2007
1
2012
1
2013
1
2016

Citation impact of Financial markets and portfolio management by publication year

8
1994
3
1999
174
2001
0
2003
114
2007
0
2012
42
2013
0
2016

Citations each year’s papers have accumulated so far — the most recent years are still building up.

Most-cited papers in Financial markets and portfolio management

COVID-19’s impact on real estate markets: review and outlook

Nadia Balemi, Roland Füss, Alois Weigand · 25 Mar 2021

As symbolized by vacant office buildings, empty shopping malls and abandoned flats in metropolitan areas, the new coronavirus disease 2019 has severely impacted real estate markets. This paper provides a comprehensive literature review of the latest academic insights into how this pandemic has affected the housing, commercial real estate and the mortgage market. Moreover, these…

Financial markets and portfolio management template — frequently asked questions

How do I write a paper in the Financial markets and portfolio management format?
In DocuGuru you write your manuscript in a normal editor — no LaTeX setup required — and select the Financial markets and portfolio management template. When you export, DocuGuru compiles the paper into the official Springer Nature format and hands you a submission-ready PDF along with the editable LaTeX source.
What reference style does Financial markets and portfolio management use?
Financial markets and portfolio management uses Author–year (Springer) references, shown as author–year markers such as (Smith, 2023) in the text. DocuGuru formats every in-text citation and the reference list in this exact style automatically. A reference appears like this: Smith, A., Jones, B. and Lee, C. (2023) 'A representative article title', Financial markets and portfolio management, 12(3), pp. 45–58.
Do I need to know LaTeX to submit to Financial markets and portfolio management?
No. DocuGuru generates the sn-jnl LaTeX class and compiles the PDF for you in the background, so you get a Springer Nature-ready Financial markets and portfolio management document without writing any LaTeX. If you do want it, the LaTeX source is included in the export.
Can I import an existing draft into the Financial markets and portfolio management template?
Yes. Paste or upload your current manuscript — Word, LaTeX, Markdown, or plain text — and DocuGuru reflows it into the Financial markets and portfolio management format with correct headings, figures, tables, and author–year citations.
Who publishes Financial markets and portfolio management?
Financial markets and portfolio management is a physics journal published by Springer Nature. DocuGuru's Financial markets and portfolio management template matches Springer Nature's official submission format.
Can I export a submission-ready Financial markets and portfolio management PDF?
Yes — DocuGuru produces a PDF built with the official Financial markets and portfolio management template (the sn-jnl class) that is ready to submit to Springer Nature, together with the matching LaTeX source files.
How much does the Financial markets and portfolio management template cost?
You can start writing in the Financial markets and portfolio management template for free. Exporting the final submission-ready Financial markets and portfolio management PDF and LaTeX source is part of DocuGuru's paid plans — see the app for current pricing.
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