Journal Title
FINANCE AND STOCHASTICS

FINANC STOCH

ISSN / eISSN
0949-2984 / 1432-1122
Aims and Scope
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.
Subject Area

MATHEMATICS, INTERDISCIPLINARY APPLICATIONS

SOCIAL SCIENCES, MATHEMATICAL METHODS

STATISTICS & PROBABILITY

CiteScore
2.90 View Trend
CiteScore Ranking
Category Quartile Rank
Mathematics - Statistics and Probability Q2 #88/278
Mathematics - Statistics, Probability and Uncertainty Q2 #60/168
Mathematics - Finance Q2 #145/317
Web of Science Core Collection
Science Citation Index Expanded (SCIE) Social Sciences Citation Index (SSCI)
Indexed Indexed
Category (Journal Citation Reports 2024) Quartile
BUSINESS, FINANCE Q3
MATHEMATICS, INTERDISCIPLINARY APPLICATIONS Q3
SOCIAL SCIENCES, MATHEMATICAL METHODS Q3
STATISTICS & PROBABILITY Q3
H-index
38
Country/Area of Publication
GERMANY
Publisher
Springer Berlin Heidelberg
Publication Frequency
Quarterly
Year Publication Started
1996
Annual Article Volume
27
Open Access
NO
Contact
SPRINGER HEIDELBERG, TIERGARTENSTRASSE 17, HEIDELBERG, GERMANY, D-69121

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