Mathematical Finance is a field of applied mathematics that focuses on the modeling, analysis, and management of financial markets and instruments. It employs quantitative techniques to solve problems related to pricing, risk assessment, and investment strategies, integrating concepts from probability theory, statistics, and stochastic processes.
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Mathematical Finance is a field of applied mathematics that focuses on the modeling, analysis, and management of financial markets and instruments. It employs quantitative techniques to solve problems related to pricing, risk assessment, and investment strategies, integrating concepts from probability theory, statistics, and stochastic processes.