The models of portfolio selection and asset price dynamics in this volume seek to explain the market dynamics of asset prices. Presenting a range of analytical, empirical, and numerical techniques as well as several different modeling approaches, the authors depict the state of debate on the market selection hypothesis. By explicitly assuming the heterogeneity of investors, they present models that are descriptive and normative as well, making the volume useful for both finance theorists and financial practitioners.
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“The research frontier of finance is moving in an ecological direction where trading strategies compete for profits like species in an ecosystem.
This volume, written by leaders in the field, does an excellent job of bringing the reader up to date in this novel, important, and fascinating research area. --William A. Brock, The University of Wisconsin at Madison
Book by Hens IV Thorsten
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