91-XX |
|
|
Game theory, economics, finance, and other social and behavioral sciences |
|
91Gxx |
|
Actuarial science and mathematical finance {For statistics, see 62P05} |
|
|
91G10 |
Portfolio theory |
|
|
91G20 |
Derivative securities (option pricing, hedging, etc.) |
|
|
91G30 |
Interest rates, asset pricing, etc. (stochastic models) |
|
|
91G40 |
Credit risk |
|
|
91G50 |
Corporate finance (dividends, real options, etc.) |
|
|
91G60 |
Numerical methods (including Monte Carlo methods) |
|
|
91G70 |
Statistical methods; risk measures [See also 62P05, 62P20] |
|
|
91G80 |
Financial applications of other theories [See also 35Q91, 37N40, 49N90, 60J70, 60K10, 60H30, 93E20] |
|
|
91G99 |
None of the above, but in this section |