International Conference on Financial Mathematics and Risk Adjusted Probability Distributions
(ICFMRAPD -25)

17th - 18th February 2025,
Los Angeles, USA

Quality articles will be published in well reputed journals like Scopus Indexed or Web of Science **

Pre-Enrollment

18th January 2025

Final Paper Submission

2nd February`2025

Registration Deadline

2nd February`2025

Conference Date

17th - 18th February 2025,

Call For Paper

Financial mathematics
Computational finance
Derivatives pricing
Risk and portfolio management
Stochastic control and optimal investment
Stochastic volatility models and jump processes
Systemic risk and financial stability
Risk-free assets
Risky assets
Risk adjusted probability distributions
Asset price dynamics and binomial trees
Black-scholes dynamics
Binomial approximation
The binomial model
Discrete time market models
Option pricing
Financial engineering
Variable interest rates
Stochastic interest rates
Financial mathematics and its applications