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Mathematical Economics and Financial Mathematics Websites

Applications of mathematics to economics and finance

MSC 2000 classes

  • 91Bxx Mathematical economics
  • 62P05 Applications to actuarial sciences and financial mathematics
  • 62P20 Applications to economics
- Category ID : 424941
1 -

Sidebar on Black-Scholes for Risk Management

Working paper by Philip H. Dybvig and William J. Marshall.
2 -

Libor Market Model : A New Approach

A two-factor model using recombining binomial tree. Training, consultancy and resources.
4 -

Risk Theory by Arcady Novosyolov

Deals with decision making as it applies to the financial and actuarial fields, including risk assessment and measurement, portfolio selection and ruin theory.
5 -

Society for Nonlinear Dynamics and Econometrics

The Society seeks to promote the use of nonlinear methods in economics and finance from both a theoretical and empirical perspective.

Subcategories under Mathematical Economics and Financial Mathematics 6

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