+**Financial Mathematics** applies sophisticated [mathematics](/wiki/mathematics) to model financial markets and instruments. It quantifies uncertainty, valuing assets and managing risk within the world of [finance](/wiki/finance). This discipline navigates the intricate dance of investments, derivatives, and economic forces.
+## See also
+- [Risk Management](/wiki/risk_management)
+- [Quantitative Finance](/wiki/quantitative_finance)
+- [Derivative](/wiki/derivative)
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