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Springer New York

Multifractal Financial Markets: An Alternative Approach to Asset and Risk Management

Multifractal Financial Markets: An Alternative Approach to Asset and Risk Management

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Multifractal Financial Markets​explores appropriate models for estimating riskand profiting from market swings, allowing readers to develop enhanced portfolio management skillsand strategies. Fractals in finance allow us to understand market instability and persistence. When applied to financial markets, these models produce the requisite amount of data necessaryfor gaugingmarket risk in order to mitigate loss. This brief delves deep into the multifractal market approach to portfolio managementthrough real-worldexamples and case studies, providing readers with the toolsthey needto forecastprofound shifts in market activity.
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