MAF 2012
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Actuarial models
Analysis of high frequency financial data
Behavioral finance
Carbon and green finance
Credit risk methods and models
Dynamic optimization in finance
Forecasting of dynamical actuarial and financial phenomena
Fund performance evaluation
Insurance portfolio risk analysis
Interest rate models
Longevity risk
Machine learning and soft-computing in finance
Management in insurance business
Models and methods for financial time series analysis
Models for financial derivatives
Multivariate techniques for financial markets analysis
Optimization in insurance
Probability in actuarial sciences, insurance and finance
Real world finance
Risk management
Solvency analysis
Sovereign risk
Static and dynamic portfolio selection and management
Trading systems

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