E5: 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:
- Time Series Forecasting for Green Finance and Sustainable Economics (Deadline: 30 May 2026)
- Mathematical Models and Data-Driven Algorithms for Solving Economic Problems (Deadline: 31 May 2026)
- Time Series and Forecasting with Applications in Economics, Finance and Beyond (Deadline: 31 May 2026)
- Game Theory in Economics and Operations Research (Deadline: 31 May 2026)
- Machine Learning and Its Applications (Deadline: 31 May 2026)
- Machine Learning and Time Series in Econometric Analysis (Deadline: 31 May 2026)
- Applications of Mathematics Analysis in Financial Marketing (Deadline: 31 May 2026)
- Advances in Business Intelligence: Theoretical and Empirical Issues (Deadline: 20 June 2026)
- Advanced Methods in the Mathematical Modeling of Economics, Econometrics, and Financial Management, 2nd Edition (Deadline: 30 June 2026)
- Portfolio Optimization and Risk Management In Financial Markets (Deadline: 30 June 2026)
- Advances in Risk Models and Actuarial Science (Deadline: 30 June 2026)
- Innovative Methods in Financial Modeling: From Econometrics to Entropy (Deadline: 30 June 2026)
- Advanced Research in Mathematical Economics and Financial Modelling, 2nd Edition (Deadline: 30 June 2026)
- Quantitative Methods in Digital Finance (Deadline: 30 June 2026)
- Interdisciplinary Modeling of Socio-Economic Behavior: From Theory to Applications (Deadline: 10 July 2026)
- Advances in Mathematical Modeling for Insurance and Risk Management (Deadline: 15 July 2026)
- Advances in Machine Learning Applied to Financial Economics (Deadline: 31 July 2026)
- Modeling, Analysis and Optimization for Mathematical Finance, Economics and Risks, 2nd Edition (Deadline: 31 July 2026)
- Blockchain Finance: Stochastic Modeling, Market Microstructure, and Quantitative Risk Control (Deadline: 31 July 2026)
- Modeling, Pricing, and Risk Management of Specialty Line Insurance (Deadline: 31 July 2026)
- Intelligent Financial Systems: Algorithms, Learning, and Decision Mechanisms (Deadline: 31 July 2026)
- Advances in Mathematical Finance and Insurance (Deadline: 31 August 2026)
- Mathematical and Probabilistic Methods in Financial Econometrics (Deadline: 31 August 2026)
- Applied Time Series and Artificial Intelligence in Economics and Finance (Deadline: 31 August 2026)
- Mathematical and Quantitative Methods in Finance and Forecasting (Deadline: 31 August 2026)
- Computational Models in Insurance and Financial Mathematics (Deadline: 31 August 2026)
- Advanced Methods, Modeling and Optimization for Financial Engineering and Risk Management (Deadline: 31 August 2026)
- Advances in Theoretical and Empirical Economic Modeling (Deadline: 31 August 2026)
- Mathematical Theory and Modeling of Complex Financial Systems (Deadline: 30 September 2026)
- Mathematical Modeling of Energy Transition, Climate Finance, and Sustainable Economic Systems (Deadline: 30 September 2026)
- New Advances in Computational Finance and Computational Intelligence in Finance, 2nd Edition (Deadline: 30 September 2026)
- Statistical Modeling of Financial Econometrics and Nonparametric Inference (Deadline: 30 September 2026)
- Machine Learning in Financial Instruments Pricing (Deadline: 30 September 2026)
- Macroeconomics, Monetary Economics and Applied Econometrics (Deadline: 31 October 2026)
- Applied Mathematics in Quantitative Finance and Risk Management: Theory, Evidence, and Applications (Deadline: 31 October 2026)
- Recent Computational Techniques to Forecast Cryptocurrency Markets (Deadline: 31 October 2026)
- AI-Driven Automated Stock Market Forecasting: Mathematical Models and Applications (Deadline: 31 October 2026)
- Financial Econometrics and Machine Learning, 2nd Edition (Deadline: 31 October 2026)
- Advancements in Applied Mathematics for Economic Data Analytics: Models, Methods, and Applications (Deadline: 31 October 2026)
- Applied Mathematical Methods in Financial and Quantitative Disciplines (Deadline: 25 November 2026)
- Time Series Methods in Macroeconomic Forecasting (Deadline: 30 November 2026)
- Artificial Intelligence Techniques in the Financial Services Industry (Deadline: 30 November 2026)
- Econophysics, Financial Markets, and Artificial Intelligence (Deadline: 30 November 2026)
- Recent Advances in Mathematical Economics and Statistical Modeling (Deadline: 30 November 2026)
- Quantitative Analysis and Mathematical Modeling in Economics and Financial Decision-Making (Deadline: 30 November 2026)
- Research on Mathematical Modeling and Prediction of Financial Risks (Deadline: 31 December 2026)
- Mathematical Methods for Economics, Finance and Actuarial Sciences (Deadline: 31 December 2026)
- Applied Mathematics in Modern Supply Chain and Logistics (Deadline: 31 December 2026)
- Computational Economics and Mathematical Modeling, 2nd Edition (Deadline: 31 December 2026)
- Application of Machine Learning and Data Analysis in Personal Finance and Financial Services Industry (Deadline: 31 December 2026)
- AI in Game Theory: Theory and Applications (Deadline: 31 December 2026)
- Mathematical and Computational Methods in Financial and Risk Forecasting (Deadline: 31 December 2026)
- Artificial Intelligence and the Quantitative Management of Financial Risk (Deadline: 15 January 2027)
- New Advances in Mathematical Economics and Financial Modelling (Deadline: 31 January 2027)
- Semiparametric and Nonparametric Approaches in Applied Economics (Deadline: 31 January 2027)
- Mathematical Problems in Financial Fluctuations and Forecasting (Deadline: 31 January 2027)
- Mathematical Modelling in Financial Economics (Deadline: 10 February 2027)
- Artificial Intelligence and Mathematical Methods in Finance (Deadline: 28 February 2027)
- Applied Mathematics in Financial Markets and Risk Analysis (Deadline: 28 February 2027)