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To see a list of forthcoming papers, please check the "Journal updates" 
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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. Founded in 1997, it serves as a publication platform for both theoretical and applied financial economists using advanced stochastic methods and researchers in stochastics motivated by and interested in applications in finance and insurance.

  • Covers specific topics in mathematics motivated by the analysis of problems in finance.
  • Publishes surveys on financial topics of general interest.
  • Features special issues devoted to rapidly growing research areas.
  • Serves as a platform for both theoretical and applied financial economists, as well as researchers in stochastics with interest in finance and insurance applications.

 

Journal metrics

Journal Impact Factor
1.4 (2024)
5-year Journal Impact Factor
1.8 (2024)
Downloads
136.8k (2025)

Latest articles

Journal updates

  • 25 Years of Finance and Stochastics

    Finance and Stochastics was founded in 1996 by Dieter Sondermann with strong support by many other members of the future editorial board. The idea was to have a high-quality publication platform for both theoretical and applied financial economists using advanced stochastic methods and researchers in stochastics motivated by and interested in applications in finance and insurance. In the last 25 years, Finance and Stochastics has established itself as one of the leading journals in this active field. 

    A Special Issue of Finance and Stochastics to mark the 25th anniversary forms the first issue of Volume 26. It can be found here:

    https://link.springer.com/journal/780/volumes-and-issues/26-1


Journal information

Electronic ISSN
1432-1122
Print ISSN
0949-2984
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  35. zbMATH
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