Complexity, Risk, And Financial Markets

Understanding Risk And Financial Crisis With Complexity Theory

by Edgar E. Peters
language: english
Publisher: JOHN WILEY & SONS INC, May of 1999 ‧
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"A fascinating account of one of today's great paradoxes: The irreducible uncertainty that lies at the heart of social and economic order. A perfectly efficient market could not possibly work. Uncertainty reduces risk. Ed Peters takes our most cherished beliefs, tuns them upside down, and convinces us that they're much better that way.

Complexity, Risk, And Financial Markets

Understanding Risk And Financial Crisis With Complexity Theory

by Edgar E. Peters

Property Description
ISBN: 9780471239475
Publisher: JOHN WILEY & SONS INC
Release Date: May of 1999
Language: English
Cover: Hardcover
Pages: 240
Format: Book
Categories: Books in English > Economics, Finance and Accounting > Economy
EAN: 9780471239475