《數學金融》是一本高質量的期刊,匯集了金融理論的數學方面的研究,涉及金融、經濟學、數學和統計學等多個領域。作為學術金融研究人員和實踐者的重要資源,該雜志發表了清晰和簡潔的文章,以一種易于理解的方式展示最新的理論發展?,F代金融正變得越來越技術化,需要在研究和實踐中使用復雜的數學工具。數學金融為使用這些技術的文章的出版提供了一個論壇,也為數學科學家和金融經濟學家之間提供了一個急需的橋梁。
Mathematical Finance is a high-quality journal which brings together work on the mathematical aspects of finance theory from such diverse fields as finance, economics, mathematics, and statistics. An essential resource for academic finance researchers and practitioners alike, the journal publishes clear and concise articles which present the latest theoretical developments in an accessible way. Modern finance is becoming increasingly technical, requiring the use of sophisticated mathematical tools in both research and practice. Mathematical Finance offers a forum for the publication of articles which employ these techniques, as well as providing a much-needed bridge between mathematical scientists and financial economists.
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