1.

Record Nr.

UNINA9910831013803321

Titolo

Applied Mathematics and Modelling in Finance, Marketing and Economics / / edited by Said Melliani, Oscar Castillo, Abdelmajid El Hajaji

Pubbl/distr/stampa

Cham : , : Springer Nature Switzerland : , : Imprint : Springer, , 2024

ISBN

3-031-42847-1

Edizione

[1st ed. 2024.]

Descrizione fisica

1 online resource (245 pages)

Collana

Studies in Computational Intelligence, , 1860-9503 ; ; 1114

Disciplina

260

Soggetti

Engineering mathematics

Engineering - Data processing

Computational intelligence

Social sciences - Mathematics

Mathematical and Computational Engineering Applications

Computational Intelligence

Mathematics in Business, Economics and Finance

Lingua di pubblicazione

Inglese

Formato

Materiale a stampa

Livello bibliografico

Monografia

Nota di bibliografia

Includes bibliographical references.

Nota di contenuto

High-Precision Method for Space-Time-Fractional Klein-Gordon equation -- Construction of a bivariate C2 septic quasi-interpolant using the blossoming approach -- Solving fuzzy linear programming using the parametric form -- Dynamic and Static Simulated Annealing for solving the Multi-Objective k-Minimum Spanning Tree Problem -- Numerical model of underground flow through porous media using a finites volumes scheme -- Parameter estimation for GARCH (p, q) Models based on Kalman Filter -- Asymptotic error analysis of Kantorovich and degenerate kernel methods for Fredholm integral equations.

Sommario/riassunto

This book offers a comprehensive overview of the latest advancements in the field of applied mathematics as it relates to finance, marketing, and economics. It covers a range of topics including the effective utilization of applied mathematics and mathematical modeling in finance, economics, and marketing. Additionally, it explores the intersection between applied mathematics and practical applications in



various scientific fields. The book targets a multidisciplinary audience, fostering the exchange of diverse ideas and showcasing the broad appeal of different subjects. It delves into recent developments in areas such as mathematical modeling in finance, mathematical modeling in marketing, the modeling of financial and economic fundamentals (e.g., interest rates, asset prices), market behavior modeling, modeling market imperfections, pricing financial derivative securities, hedging strategies, numerical methods, and financial engineering. The book features selected contributions presented at the first edition of the International Conference in Applied Mathematics to Finance, Marketing and Economics, which took place at the National School of Commerce and Management in El Jadida, Morocco, from November 26 to 27, 2020.