Mathematical Finance
Q1 Journal
Journal
Country
United Kingdom
Western Europe
Subject Area and Category
Business, Management and Accounting
└
Accounting
Q1
└
Applied Mathematics
Q1
└
Economics and Econometrics
Q1
Publisher
SJR 2025
1.761
Q1
SJR Score
H-Index
92
Citations / Doc (2yr)
4.09
Total Docs. (latest)
31
Total Citations (3yr)
351
Publication type
Journals
ISSN
09601627, 14679965
Coverage
1991-2026
Journal Rank
#1,824
Subject Categories
Accounting
Q1
Applied Mathematics
Q1
Economics and Econometrics
Q1
Finance
Q1
Social Sciences (miscellaneous)
Q1
Subject Areas
Aims & Scope
Mathematical Finance seeks to publish original research articles focused on the development and application of novel mathematical and statistical methods for the analysis of financial problems.
The journal welcomes contributions on new statistical methods for the analysis of financial problems.
Empirical results will be appropriate to the extent that they illustrate a statistical technique, validate a model or provide insight into a financial problem.
Papers whose main contribution rests on empirical results derived with standard approaches will not be considered.
Abstracting & Indexing
Scopus
Google Scholar
Web of Science
Detailed Metrics
| Total Docs. (latest) | 31 |
| Total Docs. (3 years) | 98 |
| Total Refs. | 1,343 |
| Total Citations (3 years) | 351 |
| Citable Docs. (3 years) | 96 |
| Citations / Doc. (2 years) | 4.09 |
| Ref. / Doc. | 43.32 |
| % Female | 17.3% |
Metrics Visualization
Latest year data vs 3-year cumulative figures
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