1-3
2026
影响因子区间
772天
平台估算
13%
2025
中国作者发文占比
—
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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.
【译文】《金融与随机论》旨在提供一个高标准的出版物论坛,用于发表基于随机方法的金融所有领域的研究,以及由金融问题分析激发的数学(特别是概率论、统计学和随机分析)特定主题的研究。它包括但不限于以下领域:金融市场理论和分析、连续时间金融、衍生品研究、与金融相关的保险、投资组合选择、信用和市场风险、期限结构模型、基于高级随机方法的统计和实证金融研究、金融问题的数值和随机求解技术、与金融相关的跨时期经济学、不确定性和信息。

| 指标 | 当前值 | 近三年趋势 |
|---|---|---|
| JCR分区 | Q2 | 暂无 |
| 中科院分区 | 3区 | 暂无 |
| 影响因子区间 | 1-3 | 暂无 |