Financial Mathematics

The SIAM series on Financial Mathematics publishes research monographs, advanced undergraduate- or graduate-level textbooks, and other volumes of interest to the broader mathematical finance community. We invite both introductory volumes aimed at a broad audience of readers interested in understanding methods and applications within financial mathematics and engineering and monographs reporting on the most recent developments in the field. Books published in the series will also include volumes more specifically addressed to practitioners in the financial industry.

Editor-in-Chief
Jean-Pierre Fouque
University of California, Santa Barbara
Acquisitions Editor
Elizabeth Greenspan

Editorial Board

Rene Carmona
Princeton University

Mike Ludkovski
University of California, Santa Barbara

Rama Cont
Imperial College London

Alexander Schied
University of Mannheim

Kay Giesecke
Stanford University

Ronnie Sircar
Princeton University

Paul Glasserman
Columbia University

Nizar Touzi
Ecole Polytechnique

Paolo Guasoni
Dublin City University

Thaleia Zariphopoulou
The University of Texas at Austin

 

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