Apologize for cross-posting ******************************* Dear colleagues,
we are Guest Editors of a Special Issue on "Applied Mathematical Methods in Financial Risk Management" for the journal Mathematics.
Mathematics is an Open Access journal with a section on Financial Mathematics. See https://www.mdpi.com/journal/mathematics/ for details.
Topics of particular interest for the special issue may include, but are not limited to:
- risk management, - risk measures, - risk minimization, - portfolio optimization, - capital allocation, actuarial theory, - insurance premia, - ambiguity, - set-valued risk measures, - systemic risk.
The deadline for submission is April 15, 2021. Due to Open Access, the fee to be paid at acceptance of the paper is of 1200 CHF.
Please see https://www.mdpi.com/journal/mathematics/special_issues/applied_mathematical... for further details on the Special Issue.
All those concerned are welcome to submit a scientific or a review paper.
Best regards,
Elisa Mastrogiacomo and Emanuela Rosazza Gianin