Class information for: |
Basic class information |
ID | Publications | Average number of references |
Avg. shr. active ref. in WoS |
---|---|---|---|
26982 | 198 | 19.1 | 29% |
Classes in level above (level 2) |
ID, lev. above |
Publications | Label for level above |
---|---|---|
38 | 32239 | BUSINESS, FINANCE//JOURNAL OF FINANCE//JOURNAL OF FINANCIAL ECONOMICS |
Terms with highest relevance score |
Rank | Term | Type of term | Relevance score (tfidf) |
Class's shr. of term's tot. occurrences |
Shr. of publ. in class containing term |
Num. of publ. in class |
---|---|---|---|---|---|---|
1 | PAIRS TRADING | Author keyword | 5 | 42% | 5% | 10 |
2 | REMOTE CLIENTS | Author keyword | 2 | 67% | 1% | 2 |
3 | AMER BUSINESS | Address | 1 | 100% | 1% | 2 |
4 | INVESTMENT INDUSTRY FUTURE DIRECTIONS AND SOURCES OF CHANGE | Author keyword | 1 | 50% | 1% | 2 |
5 | EQUITY | Address | 1 | 50% | 1% | 1 |
6 | FRIEDMAN SAVAGE | Author keyword | 1 | 50% | 1% | 1 |
7 | GLOBAL ASSET ALLOCAT | Address | 1 | 50% | 1% | 1 |
8 | LIFECYCLE FUNDS | Author keyword | 1 | 50% | 1% | 1 |
9 | LONG SHORT | Author keyword | 1 | 50% | 1% | 1 |
10 | NO SHORT SELLING | Author keyword | 1 | 50% | 1% | 1 |
Web of Science journal categories |
Author Key Words |
Key Words Plus |
Rank | Web of Science journal category | Relevance score (tfidf) |
Class's shr. of term's tot. occurrences |
Shr. of publ. in class containing term |
Num. of publ. in class |
---|---|---|---|---|---|
1 | FUNDAMENTAL LAW | 7 | 53% | 5% | 9 |
2 | DIRECT UTILITY MAXIMIZATION | 2 | 67% | 1% | 2 |
3 | EQUITY PORTFOLIOS | 1 | 38% | 2% | 3 |
4 | LEVERAGE AVERSION | 1 | 50% | 1% | 1 |
5 | LONG SHORT PORTFOLIOS | 1 | 50% | 1% | 1 |
6 | MARKET RETURN DISTRIBUTIONS | 1 | 50% | 1% | 1 |
7 | WAVELET SCALE ANALYSIS | 1 | 50% | 1% | 1 |
8 | STATISTICAL ARBITRAGE | 1 | 29% | 1% | 2 |
9 | ACCOUNTING SCANDALS | 0 | 25% | 1% | 1 |
10 | ACTIVE PORTFOLIO MANAGEMENT | 0 | 25% | 1% | 1 |
Journals |
Reviews |
Address terms |
Rank | Address term | Relevance score (tfidf) |
Class's shr. of term's tot. occurrences |
Shr. of publ. in class containing term |
Num. of publ. in class |
---|---|---|---|---|---|
1 | AMER BUSINESS | 1 | 100% | 1.0% | 2 |
2 | EQUITY | 1 | 50% | 0.5% | 1 |
3 | GLOBAL ASSET ALLOCAT | 1 | 50% | 0.5% | 1 |
4 | PORTFOLIO ANALYT GRP | 1 | 50% | 0.5% | 1 |
5 | QUANTITAT EQU | 1 | 50% | 0.5% | 1 |
6 | SAN DIEGO RADY MANAGEMENT | 1 | 50% | 0.5% | 1 |
7 | SCI EQU | 1 | 50% | 0.5% | 1 |
8 | BETA UMR CNRS 7522 | 0 | 33% | 0.5% | 1 |
9 | ETUD RECH PL GEST | 0 | 25% | 0.5% | 1 |
10 | ICN BUSINESS | 0 | 25% | 0.5% | 1 |
Related classes at same level (level 1) |
Rank | Relatedness score | Related classes |
---|---|---|
1 | 0.0000213114 | CAPITAL GAINS TAXATION//ASSET LOCATION//TAX ARBITRAGE |
2 | 0.0000171275 | MUTUAL FUNDS//HEDGE FUNDS//FUND FLOWS |
3 | 0.0000159199 | ROBUST OPTIMIZATION//NUS RISK MANAGEMENT//CHANCE CONSTRAINTS |
4 | 0.0000147170 | VALUE PREMIUM//JOURNAL OF PORTFOLIO MANAGEMENT//CROSS SECTION OF STOCK RETURNS |
5 | 0.0000103324 | UNCERTAINTY THEORY//PORTFOLIO SELECTION//UNCERTAIN SYST |
6 | 0.0000074213 | PRUDENCE//BACKGROUND RISK//ELASTICITY OF RISK AVERSION |
7 | 0.0000056879 | FUNDAMENTAL THEOREM OF ASSET PRICING//FINANCE AND STOCHASTICS//UTILITY MAXIMIZATION |
8 | 0.0000054159 | SOCIALLY RESPONSIBLE INVESTING//SOCIALLY RESPONSIBLE INVESTMENT//ETHICAL INVESTMENT |
9 | 0.0000052969 | VARIABLE ANNUITIES//VARIABLE ANNUITY//INTEREST RATE GUARANTEES |
10 | 0.0000047734 | JOURNAL OF FUTURES MARKETS//THEORY OF STORAGE//FUTURES MARKETS |