Welcome to the Mathematical Investor blog

This blog, and the associated MAFFIA website, are devoted to research in financial mathematics, computational aspects of financial mathematics, and the larger realm of computing, science and society. In this blog, we will especially focus on helping readers distinguish between rigorously established mathematical finance techniques, and the unfortunately much larger body of highly questionable techniques that sadly pervade the financial community and financial news.

We plan to post items regularly to this blog, with a frequency of once a month or so, for the indefinite future.


Please read this Overview of the Mathematical Investor blog, which outlines its scope and mission.

Disclaimer and copyright notice

Please read this Disclaimer and copyright notice, which specifies conditions for using all material on this site.

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