Financial Mathematics

A section of Mathematics (ISSN 2227-7390).

Section Information

“Financial Mathematics” is a Section of the open access, peer-reviewed journal Mathematics, which publishes original papers of a high scientific level in all areas of quantitative, computational, and theoretical finance.

This Section aims at disseminating and communicating the advances in financial mathematics, which represent a field that is rapidly increasing in changes and developments.

This Section welcomes original research articles that reflect this research approach as well as frontier studies. It covers all areas of financial mathematics; contributions related to artificial intelligence, machine learning, and deep learning concerning so-called “FinTech” will be strongly welcomed.


finance; mathematical economics; mathematics; statistics; theoretical; international; securities; markets; stock; risk; rate; trading; portfolio; pricing; insurance; exchange; data analysis; artificial intelligence; machine learning; deep learning; computational models

Editorial Board

Topical Advisory Panel

Special Issues

Following special issues within this section are currently open for submissions:

Papers Published

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