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Synopsis This dense answer to its own question examines the forces at work on financial markets, what creates them, and when investors can expect another collapse. Sornette, a UCLA professor of geophysics, brings his scientific expertise to bear on the markets, offering up a host of charts, graphs, and figures to illustrate his comprehensive theory of market volatility. WHY STOCK MARKETS CRASH looks not only to science, but also history as Sornette back-tests his theory on some of the great bubble bursts of the last 500 years, exploring what caused them and what we gain by understanding them.
| Size | | Length: | 464 pages | | Height: | 9.5 in | | Width: | 6.5 in | | Thickness: | 1.5 in | | Weight: | 28.0 oz |
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