Modeling, Analysis and Optimization for Mathematical Finance, Economics and Risks

Dublin Core

Title

Modeling, Analysis and Optimization for Mathematical Finance, Economics and Risks

Subject

Economics
Finance

Description

Modeling, Analysis, and Optimization for Mathematical Finance, Economics, and Risks is a critical domain that integrates mathematical theory with practical applications to address the complexities of modern financial and economic systems. This special issue focuses on recent studies that are helping to develop sophisticated mathematical models to better understand, predict, and optimize financial markets, economic behaviors, and risk management.

Creator

Jing Yao
Xiang Hu

Source

https://mdpi-res.com/bookfiles/book/9575/Modeling_Analysis_and_Optimization_for_Mathematical_Finance_Economics_and_Risks.pdf?v=1751504979

Publisher

MDPI - Multidisciplinary Digital Publishing Institute

Date

2021

Contributor

Mustabsyirah

Rights

Creative Commons

Format

PDF

Language

English

Type

Textbooks

Files

Modeling, Analysis and Optimization.jpg

Citation

Jing Yao Xiang Hu, “Modeling, Analysis and Optimization for Mathematical Finance, Economics and Risks,” Open Educational Resource (OER) - USK Library, accessed January 31, 2026, http://oer.usk.ac.id/items/show/8727.

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