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Adaptive Finance (Embracing Uncertainty and Complexity)

List Price: $50.00
SKU:
9780262051415
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  • Product Details

    Author:
    Frank J. Fabozzi, Sergio Focardi
    Format:
    Paperback
    Pages:
    232
    Publisher:
    MIT Press (February 24, 2026)
    Imprint:
    The MIT Press
    Language:
    English
    Audience:
    General/trade
    ISBN-13:
    9780262051415
    ISBN-10:
    0262051419
    Weight:
    10.55oz
    Dimensions:
    6.06" x 9" x 0.76"
    File:
    RandomHouse-PRH_Book_Company_PRH_PRT_Onix_full_active_D20260405T171603_155746869-20260405.xml
    Folder:
    RandomHouse
    List Price:
    $50.00
    Country of Origin:
    United States
    Pub Discount:
    65
    Case Pack:
    32
    As low as:
    $38.50
    Publisher Identifier:
    P-RH
    Discount Code:
    A
    QuickShip:
    Yes
  • Overview

    A groundbreaking bridge between traditional financial theories and emerging interdisciplinary approaches, offering a unique perspective on finance in these uncertain times.

    From a seasoned expert in finance, behavioral finance, complexity science, and quantum finance.


    Adaptive Finance is a forward-looking exploration of the evolving world of finance, addressing the most pressing challenges and emerging trends facing financial markets today. It examines how traditional economic and financial models, long dominant in the field, are being redefined by advancements in behavioral science, mathematics, and technology. Financial professionals and academics must confront risks and dynamics that established theories often fail to capture in an era marked by complexity, technological disruption, and global uncertainty. This book provides the intellectual foundation needed to tackle these challenges.

    The chapters span a wide range of topics—from behavioral finance and causal models to quantum finance and innovations in financial systems—offering a comprehensive view of the forces reshaping finance. The book begins with well-established frameworks and progressively explores cutting-edge concepts, guiding readers through the transformation of financial theory and practice. Each chapter stands on its own, making the book suitable for both comprehensive study and selective reading. The authors present a timely perspective on how finance must adapt to a more complex and dynamic world.