- Research works
- 104 ▲ 5% vs 2013–17
- Citations
- 521 5.0 per fractional work
- Top-10% rate
- 6.1% record average 16.5%
- Open access
- 57% world 28%
Not ranked overall: Sector Asset Management is under the volume floor below which an excellence rate is noise. Not ranked is not the same as ranked last.
Field profile
Location quotient across every field it publishes in: outside the ring is more than an institution of this size would be expected to publish, inside it is less.
Rings at 0.5×, 1× and 2×. Widest outward: Economics, Econometrics and Finance, 13.6×. Every wedge is a field page.
- Economics, Econometrics and Finance 13.6×
- Decision Sciences 6.6×
- Business, Management and Accounting 6.4×
- Energy 2.7×
- Pharmacology, Toxicology and Pharmaceutics 1.4×
- Earth and Planetary Sciences 1.4×
- Physics and Astronomy 1.1×
- Social Sciences 1.0×
- Arts and Humanities 0.9×
- Computer Science 0.8×
- Environmental Science 0.7×
- Engineering 0.5×
- Chemistry 0.3×
- Health Professions 0.2×
- Biochemistry, Genetics and Molecular Biology 0.2×
- Immunology and Microbiology 0.1×
- Materials Science 0.1×
- Agricultural and Biological Sciences 0.1×
- Medicine 0.0×
Which keywords describe research at Sector Asset Management?
By fractional works in 2022–2025, weighted toward what it does more of than the world: Corporate Governance, Asset Pricing, Market Efficiency, Investor Sentiment, Stock Returns, Economic Growth, Financial Performance and Risk Management.
- Climate Change Mitigation
- Retirement
- Catastrophe Bonds
- Income Inequality
- Regulation
- Ownership Structure
- Financial Integration
- Cash Flow Valuation
- Time Series Forecasting
- Performance Measurement
- Sovereign Wealth Funds
- Venture Capital
- Asset Allocation
- Investment
- Shareholder Value
- Firm Performance
- Neural Networks
- Stock Returns
- Economic Growth
- Asset Pricing
- Corporate Governance
- Market Efficiency
- Investor Sentiment
- Financial Performance
- Deep Learning
- Risk Management
- Entrepreneurship
- Monetary Policy
- Start-Up Firms
- Investment Strategies
- Sentiment Analysis
- Stock Market Prediction
- Capital Flows
- Economic Value Added
- Investor Protection
- European Union
- Health Effects
- Aging Workforce
- Insurance
- Algorithmic Information Theory
Size is fractional works in 2022–2025 in the topics tagged with each word; colour is the word's share of this institution's work against its share of the world's. The 40 words are chosen for being large and distinctive. Each links to the topic it comes from most.
All 40 words, with their numbers
- Corporate Governance5▲ 16×6 topics
- Asset Pricing3▲ 92×2 topics
- Market Efficiency3▲ 114×2 topics
- Economic Growth3▲ 8.7×9 topics
- Investor Sentiment3▲ 167×1 topic
- Stock Returns3▲ 167×1 topic
- Financial Performance3▲ 11×3 topics
- Neural Networks2▲ 4.0×7 topics
- Deep Learning2▲ 1.75×7 topics
- Firm Performance2▲ 27×2 topics
- Risk Management2▲ 11×5 topics
- Shareholder Value2▲ 49×2 topics
- Entrepreneurship2▲ 13×2 topics
- Investment2▲ 50×2 topics
- Monetary Policy2▲ 20×8 topics
- Asset Allocation2▲ 103×2 topics
- Start-Up Firms2▲ 181×1 topic
- Venture Capital2▲ 173×1 topic
- Investment Strategies2▲ 287×1 topic
- Sovereign Wealth Funds2▲ 362×1 topic
- Sentiment Analysis2▲ 37×2 topics
- Performance Measurement2▲ 13×2 topics
- Stock Market Prediction2▲ 66×1 topic
- Time Series Forecasting2▲ 66×1 topic
- Capital Flows1▲ 97×1 topic
- Cash Flow Valuation1▲ 145×1 topic
- Economic Value Added1▲ 145×1 topic
- Financial Integration1▲ 115×1 topic
- Investor Protection1▲ 45×1 topic
- Ownership Structure1▲ 45×1 topic
- European Union1▲ 15×2 topics
- Regulation1▲ 5.9×2 topics
- Health Effects1▲ 5.2×2 topics
- Income Inequality1▲ 21×4 topics
- Aging Workforce1▲ 115×1 topic
- Catastrophe Bonds1▲ 64×1 topic
- Insurance1▲ 35×1 topic
- Retirement1▲ 40×1 topic
- Algorithmic Information Theory1▲ 146×1 topic
- Climate Change Mitigation1▲ 326×1 topic
Which research topics does Sector Asset Management publish most on?
By volume in 2022–2025: Financial Markets and Investment Strategies, Private Equity and Venture Capital, State Capitalism and Financial Governance and Corporate Finance and Governance.
Area is fractional works; colour is the subfield each topic belongs to.
- 1 Financial Markets and Investment Strategies Finance 3 works
- 2 Private Equity and Venture Capital Accounting 2 works
- 3 State Capitalism and Financial Governance Strategy and Management 2 works
- 4 Corporate Finance and Governance Accounting 2 works
- 5 Stock Market Forecasting Methods Management Science and Operations Research 2 works
- 6 Financial Reporting and Valuation Research Strategy and Management 1 works
- 7 Global Financial Crisis and Policies Finance 1 works
- 8 Retirement, Disability, and Employment Demography 1 works
- 9 Insurance and Financial Risk Management Economics and Econometrics 1 works
- 10 Mathematics Education and Teaching Techniques Education 1 works
How open and international is its research?
Against the world’s own shares — the tick on each track. Both are shares of its output, so they sit on one scale and can be read against each other as well as against the world.
World: 28% of research is openly available.
World: 19% is written across borders.
How has Sector Asset Management's research output changed?
Output in 2018–2022 was 5% higher than in 2013–2017.
The same series as a ribbon — one cell per year, darker for more. The line above answers how much; this answers when.
Other research institutions in Oslo
- University of Oslo
- Oslo University Hospital
- OsloMet – Oslo Metropolitan University
- Norwegian Institute of Public Health
- Norwegian Cancer Society
- BI Norwegian Business School
- Norwegian Defence Research Establishment
- Norsk Hydro (Norway)
Research measures only: rankings here say nothing about teaching, admissions or student experience. Comparable institutions and collaboration partners are in the interactive view on the map.