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 seehttps://www.mdpi.com/journal/mathematics/special_issues/applied_mathematical_methods_financial_risk_management 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