Fractals and Scaling in Finance - Info and Reading Options
Discontinuity, Concentration, Risk. Selecta Volume E
By Benoît B. Mandelbrot and Richard L. Hudson

"Fractals and Scaling in Finance" was published by Springer in Dec 01, 2010 and it has 561 pages.
“Fractals and Scaling in Finance” Metadata:
- Title: ➤ Fractals and Scaling in Finance
- Authors: Benoît B. MandelbrotRichard L. Hudson
- Number of Pages: 561
- Publisher: Springer
- Publish Date: Dec 01, 2010
“Fractals and Scaling in Finance” Subjects and Themes:
- Subjects: ➤ Statistical methods - Fractals - Finance - Scaling (Social sciences) - Finance, statistical methods - Social sciences - Mathematics - Quantitative Finance
Edition Specifications:
- Format: paperback
Edition Identifiers:
- The Open Library ID: OL27983394M - OL1808387W
- ISBN-13: 9781441931191
- ISBN-10: 1441931198
- All ISBNs: 1441931198 - 9781441931191
AI-generated Review of “Fractals and Scaling in Finance”:
"Fractals and Scaling in Finance" Description:
The Open Library:
This is the first book in the Selecta, the collected works of Benoit Mandelbrot. This volume incorporates his original contributions to finance and is a major contribution to the understanding of how speculative prices vary in time. The chapters consist of much new material prepared for this volume, as well as reprints of his classic papers. Much of this work helps to lay a foundation for evaluating risks in trading strategies. Statistical Papers, 2000: "... this is a most useful collection of Mandelbrot's work economics, it provides an excellent starting point for anybody interested in the origin of many current topics in empirical finance or the distribution of income."
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