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.
Keywords
Editorial Board
Topical Advisory Panel
Special Issues
Following special issues within this section are currently open for submissions:
- Mathematical Economics and Insurance (Deadline: 31 August 2022)
- Mathematical and Statistical Analysis of COVID-19 Impact on Global Economy, Business, and Management (Deadline: 31 August 2022)
- Application of Mathematical Methods in Financial Economics (Deadline: 31 August 2022)
- Quantitative Analysis and DEA Modeling in Applied Economics (Deadline: 31 August 2022)
- Mathematical Methods and Analysis for the Industrial Management and Business II (Deadline: 2 September 2022)
- Trends in Game Theory and Its Applications (Deadline: 30 September 2022)
- Mathematical Modeling in Transportation Economics, Financial Economics, and International Economics (Deadline: 30 September 2022)
- Multivariate Data Analysis and Machine-Learning Models in Financial Analysis (Deadline: 30 September 2022)
- Modern Mathematical Models in Investment: Theory and Practice (Deadline: 31 October 2022)
- Mathematical Financial Econometrics: Non-normal Distributions and Risk Forecasting (Deadline: 31 October 2022)
- Application of Mathematical Analysis and Models to Financial Economics (Deadline: 31 October 2022)
- Mathematical Models and Methods in Applied Economic Research (Deadline: 31 October 2022)
- Recent Advances on Nonlinear Models in Mathematical Finance (Deadline: 31 October 2022)
- Recent Development of Mathematical Methods in Financial Management (Deadline: 31 October 2022)
- Alternate Mathematical Approaches to Estimating Portfolio Efficiency: Incorporating a Multi-Asset Framework (Deadline: 15 November 2022)
- Evolutionary Games, Propagation Processes and Control in Complex Systems (Deadline: 30 November 2022)
- From COVID-19 to Resilience: Quantitative Methods in Economics and Business (Deadline: 30 November 2022)
- Mathematics and Financial Economics (Deadline: 30 November 2022)
- Information in Economics, Finance and Insurance: Modelling and Applications (Deadline: 20 December 2022)
- Mathematics and Economic Modeling (Deadline: 31 December 2022)
- Mathematical Methods of Economics and Finance (Deadline: 31 December 2022)
- Applications and Mathematical Foundations of Machine Learning in Investments (Deadline: 31 December 2022)
- New Trends in Decision Analysis and Reliability Management (Deadline: 31 December 2022)
- The Mathematics of Pandemics: Applications for Insurance (Deadline: 31 December 2022)
- New Advances in Computational Finance and Computational Intelligence in Finance (Deadline: 31 December 2022)
- Game Theory and Industrial Organization (Deadline: 31 December 2022)
- Advances in Financial Modeling (Deadline: 31 January 2023)
- The Mathematics of Economics: The Symbolic and Statistical Language of Human Behavior under Material Constraint (Deadline: 31 January 2023)
- Stochastic Optimization: Theory, Methods, and Applications (Deadline: 31 January 2023)
- Mathematical Methods in Energy Economy (Deadline: 15 February 2023)
- Frontiers of Stochastic Processes Applied to Modelling in Finance (Deadline: 20 February 2023)
- Application of Survival Analysis in Economics, Finance and Insurance (Deadline: 28 February 2023)
- Mathematical Methods for Finance and Economics (Deadline: 28 February 2023)
- Mathematical and Statistical Modeling of Socio-Economic Behavior (Deadline: 1 March 2023)
- Applications of Fractional Calculus in Option Pricing (Deadline: 31 March 2023)
- Supply Chain Management and Mathematical Logistics (Deadline: 30 April 2023)
- Recent Advances in Mathematical Methods for Economics (Deadline: 30 April 2023)
- Volatility Models Applied to Geophysics, Financial Market Data and Other Disciplines II (Deadline: 31 May 2023)
- A Themed Issue Dedicated to Professor Lloyd S. Shapley on the Occasion of His 100th Birthday Anniversary (Deadline: 2 June 2023)
- Advances in Mathematical Modelling and Statistical Methods for Risk Management (Deadline: 30 June 2023)
- Statistical Methods of Analyzing Financial Equilibrium, Performance and Risk (Deadline: 15 July 2023)
- Mathematical Modeling and Applications in Industrial Organization (Deadline: 1 September 2023)
- Research and Application of Data Optimization Model in Finance (Deadline: 31 October 2023)