Book Description
The average investor is usually unaware of the theoretical bases and academic underpinnings of various investment strategies. Investment books and popular reference guides barely mention efficient market or random walk theory, and the mathematical aspect of portfolio management theory appears as little more than a footnote.
By using fractals and rescaled range plus nonlinear dynamic models, Ed Peters explains turbulent market behavior, offers fresh insights into risk and volatility, and demystifies price and market movements. Whatever your trading and investment goals, FRACTAL MARKET ANALYSIS delivers the realistic economic and mathematical structure you need to enhance your asset valuation and portfolio selection strategies.
A leading pioneer in the field offers practical applications of this innovative science. Peters describes complex concepts in an easy-to-follow manner for the non-mathematician. He uses fractals, rescaled range analysis and nonlinear dynamical models to explain behavior and understand price movements. These are specific tools employed by chaos scientists to map and measure physical and now, economic phenomena.
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