Class information for:
Level 1: MUTUAL FUNDS//HEDGE FUNDS//MUTUAL FUND PERFORMANCE

Basic class information

Bar chart of Publication_year

Last years might be incomplete

Hierarchy of classes

The table includes all classes above and classes immediately below the current class.



Cluster id Level Cluster label #P
2 4 ECONOMICS//POLITICAL SCIENCE//EDUCATION & EDUCATIONAL RESEARCH 1996300
115 3       BUSINESS, FINANCE//ECONOMICS//JOURNAL OF BANKING & FINANCE 72270
34 2             BUSINESS, FINANCE//ECONOMICS//JOURNAL OF FUTURES MARKETS 33240
5776 1                   MUTUAL FUNDS//HEDGE FUNDS//MUTUAL FUND PERFORMANCE 1606

Terms with highest relevance score



rank Category termType chi_square shrOfCwithTerm shrOfTermInClass termInClass
1 MUTUAL FUNDS authKW 2985913 16% 61% 251
2 HEDGE FUNDS authKW 1533103 8% 59% 132
3 MUTUAL FUND PERFORMANCE authKW 420469 2% 71% 30
4 FUND PERFORMANCE authKW 410690 2% 70% 30
5 PERFORMANCE PERSISTENCE authKW 386606 2% 73% 27
6 FUND FLOWS authKW 384453 1% 85% 23
7 BUSINESS, FINANCE WoSSC 361447 71% 2% 1134
8 MARKET TIMING authKW 267471 3% 31% 44
9 JOURNAL OF PORTFOLIO MANAGEMENT journal 252937 8% 10% 133
10 G23 authKW 235595 2% 32% 37

Web of Science journal categories



chi_square_rank Category chi_square shrOfCwithTerm shrOfTermInClass termInClass
1 Business, Finance 361447 71% 2% 1134
2 Economics 40336 54% 0% 864
3 Business 2367 7% 0% 119
4 Management 974 6% 0% 93
5 Operations Research & Management Science 682 5% 0% 82
6 Social Sciences, Mathematical Methods 385 2% 0% 33
7 Law 286 3% 0% 45
8 International Relations 197 2% 0% 27
9 Urban Studies 78 1% 0% 14
10 Mathematics, Interdisciplinary Applications 54 2% 0% 29

Address terms



chi_square_rank term chi_square shrOfCwithTerm shrOfTermInClass termInClass
1 INVESTMENT MANAGEMENT 66088 0% 42% 8
2 FINANCE 58834 10% 2% 168
3 PL MANAGEMENT UNIT UNIAG 44150 0% 75% 3
4 BNP PARIBAS HEDGE FUND 39245 0% 100% 2
5 ROTMAN INT PENS MANAGEMENT 39245 0% 100% 2
6 CNRS LEM 28537 0% 36% 4
7 EDHEC RISK ASSET MANAGEMENT 26162 0% 67% 2
8 FINANZAS CONTABILIDAD 24521 0% 25% 5
9 A316 19623 0% 100% 1
10 ABP INVESTMENTS LIMBURG FINANCIAL ECON 19623 0% 100% 1

Journals



chi_square_rank term chi_square shrOfCwithTerm shrOfTermInClass termInClass
1 JOURNAL OF PORTFOLIO MANAGEMENT 252937 8% 10% 133
2 FINANCIAL ANALYSTS JOURNAL 120874 4% 11% 57
3 JOURNAL OF FINANCE 89238 7% 4% 118
4 REVIEW OF FINANCIAL STUDIES 83149 5% 5% 84
5 JOURNAL OF FINANCIAL ECONOMICS 82148 6% 4% 101
6 JOURNAL OF FINANCIAL AND QUANTITATIVE ANALYSIS 72331 5% 5% 75
7 JOURNAL OF BANKING & FINANCE 59678 7% 3% 117
8 EUROPEAN FINANCIAL MANAGEMENT 39052 2% 7% 29
9 AUSTRALIAN JOURNAL OF MANAGEMENT 25917 1% 7% 18
10 REVIEW OF FINANCE 23761 1% 6% 22

Author Key Words



chi_square_rank term chi_square shrOfCwithTerm shrOfTermInClass termInClass LCSH search Wikipedia search
1 MUTUAL FUNDS 2985913 16% 61% 251 Search MUTUAL+FUNDS Search MUTUAL+FUNDS
2 HEDGE FUNDS 1533103 8% 59% 132 Search HEDGE+FUNDS Search HEDGE+FUNDS
3 MUTUAL FUND PERFORMANCE 420469 2% 71% 30 Search MUTUAL+FUND+PERFORMANCE Search MUTUAL+FUND+PERFORMANCE
4 FUND PERFORMANCE 410690 2% 70% 30 Search FUND+PERFORMANCE Search FUND+PERFORMANCE
5 PERFORMANCE PERSISTENCE 386606 2% 73% 27 Search PERFORMANCE+PERSISTENCE Search PERFORMANCE+PERSISTENCE
6 FUND FLOWS 384453 1% 85% 23 Search FUND+FLOWS Search FUND+FLOWS
7 MARKET TIMING 267471 3% 31% 44 Search MARKET+TIMING Search MARKET+TIMING
8 G23 235595 2% 32% 37 Search G23 Search G23
9 MUTUAL FUND FLOWS 195067 1% 76% 13 Search MUTUAL+FUND+FLOWS Search MUTUAL+FUND+FLOWS
10 FLOW PERFORMANCE RELATIONSHIP 176604 1% 100% 9 Search FLOW+PERFORMANCE+RELATIONSHIP Search FLOW+PERFORMANCE+RELATIONSHIP

Core articles

The table includes core articles in the class. The following variables is taken into account for the relevance score of an article in a cluster c:
(1) Number of references referring to publications in the class.
(2) Share of total number of active references referring to publications in the class.
(3) Age of the article. New articles get higher score than old articles.
(4) Citation rate, normalized to year.

Classes with closest relation at Level 1



rank cluster_id2 link
1 11276 DISPOSITION EFFECT//INDIVIDUAL INVESTORS//HOME BIAS
2 23158 SOCIALLY RESPONSIBLE INVESTMENT//SOCIALLY RESPONSIBLE INVESTING//ETHICAL INVESTMENT
3 2403 BUSINESS, FINANCE//VALUE PREMIUM//ASSET PRICING
4 16165 JOURNAL OF PORTFOLIO MANAGEMENT//FINANCIAL ANALYSTS JOURNAL//MINIMUM VARIANCE PORTFOLIO
5 38767 ORDINAL CERTAINTY EQUIVALENT PREFERENCES//ANOMALOUS MARKET REACTION//AREA MIS POM
6 23307 SHORT SELLING//SHORT SALE CONSTRAINTS//SHORT INTEREST
7 16097 INVESTOR SENTIMENT//CLOSED END FUNDS//BITCOIN
8 12245 PORTFOLIO SELECTION//PORTFOLIO OPTIMIZATION//INDEX TRACKING
9 17330 JANUARY EFFECT//DAY OF THE WEEK EFFECT//CALENDAR ANOMALIES
10 21003 STOCHASTIC DOMINANCE//RISK AVERTER//ALMOST STOCHASTIC DOMINANCE

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