3-5
2026
影响因子区间
—
平台估算
14%
2025
中国作者发文占比
—
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期刊简介:Mathematical Finance seeks to publish original research articles focused on the development and application of novel mathematical and statistical methods for the analysis of financial problems. The journal welcomes contributions on new statistical methods for the analysis of financial problems. Empirical results will be appropriate to the extent that they illustrate a statistical technique, validate a model or provide insight into a financial problem. Papers whose main contribution rests on empirical results derived with standard approaches will not be considered.
【译文】《数学金融学》致力于发表关于金融问题分析和应用新颖数学与统计方法的原创研究文章。该期刊欢迎关于金融问题分析的新统计方法方面的贡献。只要能够说明一种统计技术、验证一个模型或对金融问题提供洞察力的实证结果都是合适的。主要贡献基于使用标准方法获得的实证结果的文章将不予考虑。

| 指标 | 当前值 | 近三年趋势 |
|---|---|---|
| JCR分区 | Q1 | 暂无 |
| 中科院分区 | 3区 | 暂无 |
| 影响因子区间 | 3-5 | 暂无 |