This is the second of two special issues of Mathematical Methods in Economics and Finance devoted to the International Conference a special issues of Mathematical Methods in Economics and Finance devoted to the International Conference MAF 2012 - Mathematical and Statistical Methods for Actuarial Sciences and Finance. The conference was the fifth in an international biennial series, which began in 2004. This special issue collects a series of original papers freely submitted to the journal by contributors of the conference. Following the standard praxis of Mathematical Methods in Economics and Finance, each of these papers has been peer reviewed by at least two anonymous referees.

MATHEMATICAL METHODS IN ECONOMICS AND FINANCE, Guest Editor of

Marco Corazza
2015-01-01

Abstract

This is the second of two special issues of Mathematical Methods in Economics and Finance devoted to the International Conference a special issues of Mathematical Methods in Economics and Finance devoted to the International Conference MAF 2012 - Mathematical and Statistical Methods for Actuarial Sciences and Finance. The conference was the fifth in an international biennial series, which began in 2004. This special issue collects a series of original papers freely submitted to the journal by contributors of the conference. Following the standard praxis of Mathematical Methods in Economics and Finance, each of these papers has been peer reviewed by at least two anonymous referees.
2015
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Utilizza questo identificativo per citare o creare un link a questo documento: https://hdl.handle.net/10278/3756692
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