II Workshop of Stochastic Modeling in Finance and Risk Managment
One of the objetives of this Workshop is encourage the dissemination of mathematical tools in modern finance and risk management, and its incorporation by public and private institutions, economic, financial and audit. In addition it will allow to keep a closer relation between these actors around specific issues and relevant to the national economic environment and requiring stochastic models for better understanding and solutions. It will also help to increase the interaction among researchers from different economic areas, mathematics and engineering.