Abstract

The change of times has promoted the rapid development of the economy, and also stimulated the prosperity of the market. As an important component of the economic market, the continuous improvement of the financial economy requires the support of theoretical knowledge in the financial field. As an important theoretical part of financial economics, financial mathematics, relying on its computer and mathematical advantages, conducts a deeper exploration of securities and market equilibrium in the financial market. After decades of research, it has achieved fruitful results, providing strong data support for promoting the normal operation of financial institutions. Starting from the concept and related theoretical composition of financial mathematics, this article mainly analyzes the impact of financial mathematics on contemporary financial markets, and expounds the application of some core theories of financial mathematics at the market level. The article also briefly explains the current situation of financial markets from the perspectives of theoretical innovation and application issues, and describes the prospects of financial mathematics.

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