Editorial Policy

Editorial Policy

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

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

Finance and Stochastics also publishes surveys on financial topics of general interest if they clearly picture and illuminate the basic ideas and techniques at work, the interrelationship of different approaches and the central questions which remain open. Special issues may be devoted to specific topics in rapidly growing research areas.

In summary, Finance and Stochastics serves as a publication platform for both theoretical and applied financial economists using advanced stochastic methods and for researchers in stochastics motivated by and interested in applications to finance and insurance.


Last update 14.04.2015 Jean-Luc Pfisterer