Applied Mathematics
Financial Math and Actuarial Science
Financial Mathematics and Actuarial Science combines quantitative finance, actuarial science, pricing, and risk analysis.
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Overview
About this area
The Financial Mathematics and Actuarial Science Research Group integrates diverse methodologies from quantitative finance, mathematical finance, and actuarial science. Financial research leverages statistical analysis, stochastic processes, stochastic differential equations, and optimization techniques to model complex market behaviors. The actuarial branch develops mathematical and statistical frameworks for insurance pricing and risk analysis.