Applied Mathematical Finance
Last updated ISSN 1350-486X
Applied Mathematical Finance is published by Taylor & Francis in economics, econometrics and finance. It is a subscription journal. Its article processing charge is not published.
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What it publishes
Recent work in Applied Mathematical Finance concentrates on these topics, taken from its published record rather than from its own description:
- Stochastic processes and financial applications
- Financial Risk and Volatility Modeling
- Financial Markets and Investment Strategies
- Capital Investment and Risk Analysis
- Complex Systems and Time Series Analysis
- Economic theories and models
- Credit Risk and Financial Regulations
- Insurance, Mortality, Demography, Risk Management
- Risk and Portfolio Optimization
- Monetary Policy and Economic Impact
Key facts
| Publisher | Taylor & Francis |
|---|---|
| ISSN | 1350-486X, 1466-4313 |
| Subject area | Economics, Econometrics and Finance |
| Access | Subscription |
| Article processing charge | Not published |
| Indexed in | Scopus |
| Articles published | 575 |
| Publishing since | 1994 |
| Journal website | www.tandfonline.com/toc/ramf20/current |
Facts come from OpenAlex, DOAJ and Wikidata and may lag the journal’s own pages. Check the publisher’s site before submitting. Indexing shown here is what is recorded, not a complete picture — about a third of journals have no indexing recorded anywhere we can read, so “not recorded” does not mean a journal is absent from Scopus or Web of Science.
Journals like Applied Mathematical Finance
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