Collections of articles of miscellaneous specific interest (00B15) Applications of statistics to actuarial sciences and financial mathematics (62P05) Proceedings, conferences, collections, etc. pertaining to game theory, economics, and finance (91-06) Portfolio theory (91G10) Financial markets (91G15) Derivative securities (option pricing, hedging, etc.) (91G20) Interest rates, asset pricing, etc. (stochastic models) (91G30) Financial networks (including contagion, systemic risk, regulation) (91G45)
Recommendations
- Quantitative Risk and Portfolio Management
- Financial econometrics, mathematics, and statistics. Theory, method, and application
- Financial Economics and Econometrics
- An introduction to mathematical finance with applications. Understanding and building financial intuition
- A first course in quantitative finance
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