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{ "item_title" : "Non-Linear Market Dynamics", "item_author" : [" Danny Munrow", "Johann Strauss "], "item_description" : "Reactive PublishingMaster the mathematical models shaping modern quantitative finance and non-linear market analysis.Financial markets rarely move in smooth, predictable curves. Standard linear economics often fails to account for sudden volatility, feedback loops, and structural market shifts. Non-Linear Market Dynamics bridges the gap between theoretical mathematics and practical financial engineering, offering a comprehensive look at how complex systems behave in real-world trading environments.Written for quantitative analysts, financial engineers, and advanced students of mathematical finance, this text explores the core mathematical frameworks driving non-linear market analysis: Chaos Theory in Markets: Understanding sensitive dependence on initial conditions, phase space reconstruction, and detecting deterministic chaos within noisy market data.Fractal Geometry & Tail Risk: Applying Mandelbrot's fractal concepts, self-similarity, and power-law distributions to model extreme market events and heavy-tailed asset returns.Advanced Calculus & Dynamical Systems: Leveraging differential equations, stochastic calculus, and non-linear differential systems to map complex price movements.Practical Financial Applications: Translating high-level mathematical concepts into actionable risk management, algorithmic modeling, and portfolio strategy.Whether you are analyzing market microstructure or building resilient quantitative models, this book provides the mathematical tools required to navigate non-linear behavior in modern global markets.", "item_img_path" : "https://covers2.booksamillion.com/covers/bam/9/79/819/059/9798190593037_b.jpg", "price_data" : { "retail_price" : "39.99", "online_price" : "39.99", "our_price" : "39.99", "club_price" : "39.99", "savings_pct" : "0", "savings_amt" : "0.00", "club_savings_pct" : "0", "club_savings_amt" : "0.00", "discount_pct" : "10", "store_price" : "" } }
Non-Linear Market Dynamics|Danny Munrow

Non-Linear Market Dynamics : Applying Chaos Theory, Fractals, and Advanced Calculus to Modern Finance

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Overview

Reactive Publishing

Master the mathematical models shaping modern quantitative finance and non-linear market analysis.

Financial markets rarely move in smooth, predictable curves. Standard linear economics often fails to account for sudden volatility, feedback loops, and structural market shifts. Non-Linear Market Dynamics bridges the gap between theoretical mathematics and practical financial engineering, offering a comprehensive look at how complex systems behave in real-world trading environments.

Written for quantitative analysts, financial engineers, and advanced students of mathematical finance, this text explores the core mathematical frameworks driving non-linear market analysis:

  • Chaos Theory in Markets: Understanding sensitive dependence on initial conditions, phase space reconstruction, and detecting deterministic chaos within noisy market data.
  • Fractal Geometry & Tail Risk: Applying Mandelbrot's fractal concepts, self-similarity, and power-law distributions to model extreme market events and heavy-tailed asset returns.
  • Advanced Calculus & Dynamical Systems: Leveraging differential equations, stochastic calculus, and non-linear differential systems to map complex price movements.
  • Practical Financial Applications: Translating high-level mathematical concepts into actionable risk management, algorithmic modeling, and portfolio strategy.

Whether you are analyzing market microstructure or building resilient quantitative models, this book provides the mathematical tools required to navigate non-linear behavior in modern global markets.

This item is Non-Returnable

Details

  • ISBN-13: 9798190593037
  • ISBN-10: 9798190593037
  • Publisher: Independently Published
  • Publish Date: August 2026
  • Dimensions: 9 x 6 x 1.5 inches
  • Shipping Weight: 1.59 pounds
  • Page Count: 606

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