Financial mathematics comprises the theoretical frameworks and numerical techniques used to model financial markets, assess risk, and price derivative instruments. Rooted in probability theory and ...
Todd Swanson of the Hope College mathematics faculty has co-authored the textbook “A Spiral Approach to Financial Mathematics,” offering a new way of learning the concepts. The book is being published ...
Philadelphia, PA – Continuing to advance its mission to publish journals of high quality, relevance, and originality, the Society for Industrial and Applied Mathematics (SIAM) is pleased to announce ...
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