The Strategic Analysis of Financial Markets
DOI10.1142/10109zbMATH Open1417.91005OpenAlexW4231697612MaRDI QIDQ4631644FDOQ4631644
Authors: Steven D. Moffitt
Publication date: 16 April 2019
Full work available at URL: https://doi.org/10.1142/10109-vol1
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time seriesdecision theorygame theoryutility theoryfinancial marketsmarket efficiencygamblingstrategic analysisstatistical regularitiespredictable irrationality
Time series, auto-correlation, regression, etc. in statistics (GARCH) (62M10) Applications of statistics to actuarial sciences and financial mathematics (62P05) Decision theory (91B06) Applications of game theory (91A80) Utility theory (91B16) Stopping times; optimal stopping problems; gambling theory (60G40) Introductory exposition (textbooks, tutorial papers, etc.) pertaining to game theory, economics, and finance (91-01) Actuarial science and mathematical finance (91G99)
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