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Finance And Stochastics

Finance And Stochastics

发行周期:Quarterly
ISSN:0949-2984
是否SCI:SSCI、SCIE
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基本信息

出版地:GERMANY

期刊简称:FINANC STOCH

通讯地址:SPRINGER HEIDELBERG, TIERGARTENSTRASSE 17, HEIDELBERG, GERMANY, D-69121

创刊年份:1996

发行周期:Quarterly

涉及方向:管理科学 - 数学跨学科应用

ESSN:1432-1122

英文期刊简介

The purpose of Finance and Stochastics is to provide a high standard publication forum for research

- in all areas of finance based on stochastic methods

- on specific topics in mathematics (in particular probability theory, statistics and stochastic analysis) motivated by the analysis of problems in finance.

Finance and Stochastics encompasses - but is not limited to - the following fields:

- theory and analysis of financial markets

- continuous time finance

- derivatives research

- insurance in relation to finance

- portfolio selection

- credit and market risks

- term structure models

- statistical and empirical financial studies based on advanced stochastic methods

- numerical and stochastic solution techniques for problems in finance

- intertemporal economics, uncertainty and information in relation to finance.

中文期刊简介

《Finance And Stochastics》是一本由SPRINGER HEIDELBERG出版商出版的专业管理科学期刊,该刊创刊于1996年,刊期Quarterly,该刊已被国际权威数据库SSCI、SCIE收录。在中科院最新升级版分区表中,该刊分区信息为大类学科:经济学 2区,小类学科:商业:财政与金融 2区;数学跨学科应用 2区;社会科学:数理方法 2区;统计学与概率论 2区;在JCR(Journal Citation Reports)分区等级为Q2。该刊发文范围涵盖数学跨学科应用等领域,旨在及时、准确、全面地报道国内外数学跨学科应用工作者在该领域取得的最新研究成果、工作进展及学术动态、技术革新等,促进学术交流,鼓励学术创新。2021年影响因子为2.095,平均审稿速度>12周,或约稿。

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JCR分区

JCR分区等级 JCR所属学科 分区 影响因子
Q2 MATHEMATICS, INTERDISCIPLINARY APPLICATIONS Q2 2.095
STATISTICS & PROBABILITY Q2
SOCIAL SCIENCES, MATHEMATICAL METHODS Q3
BUSINESS, FINANCE Q3

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