Please use this identifier to cite or link to this item: https://hdl.handle.net/10419/239125 
Year of Publication: 
2020
Citation: 
[Journal:] Journal of Risk and Financial Management [ISSN:] 1911-8074 [Volume:] 13 [Issue:] 2 [Publisher:] MDPI [Place:] Basel [Year:] 2020 [Pages:] 1-3
Publisher: 
MDPI, Basel
Abstract: 
Mathematics plays a vital role in many areas of finance and provides the theories and tools that have been widely used in all areas of finance. In this editorial, we tell authors the ideas on what types of papers we will accept for publication in the area of mathematical finance. We will discuss some well-cited papers of mathematical finance.
Subjects: 
applications
finance
mathematics
probability
statistics
Persistent Identifier of the first edition: 
Creative Commons License: 
cc-by Logo
Document Type: 
Article

Files in This Item:
File
Size
620.55 kB





Items in EconStor are protected by copyright, with all rights reserved, unless otherwise indicated.