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.
YEAR | Impact Factor |
---|---|
2023-24 | 1.6 |
2022 | 1.6 |
2021 | 2.894 |
MATHEMATICAL FINANCE, 0960-1627, 1991-ongoing, Business, Management and Accounting,Economics, Econometrics and Finance,Mathematics.