About the Journal
The Journal of Mathematics, Actuarial Science, and Risk, abbreviated as MAHAR, published by the Institut Teknologi Bacharuddin Jusuf Habibie, focuses on innovative research in the fields of mathematics, actuarial science, and risk management. This journal serves as a platform for researchers and practitioners to share their findings and methodologies related to the application of mathematical principles in risk analysis and decision-making. Aiming to foster interdisciplinary collaboration, this journal is expected to become a key reference for academics and professionals contributing to the management of uncertainty across various sectors.