Preface
This is the first of two special issues of Mathematical Methods in Economics and
Finance devoted to the International Conference MAF 2008 – Mathematical and
Statistical Methods for Actuarial Sciences and Finance held in Venice (Italy)
from March 26 to 28, 2008.
The conference has been the first international edition of a biennial national
series begun at 2004, which was born by a brilliant belief of the colleagues –
and friends – of the Department of Economics and Statistical Sciences of the
University of Salerno: the idea following which the cooperation between mathematicians
and statisticians in working in actuarial sciences, in insurance and in
finance can improve research on these topics. The proof of the goodness of this
belief has consisted in the wide participation to these events.
This issue collects a series of original papers freely submitted to the journal
by Contributors of the conference and, following the usual praxis, each peer
reviewed by at least two anonymous referees.
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