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Navigating Financial Market Complexities
This chapter explores the intricacies of return dimensions in financial markets, focusing on the risks and uncertainties associated with trading small and large-cap stocks. It examines how advancements in data usage have reshaped financial research, alongside the challenges of identifying reliable historical patterns. The discussion culminates with a critical analysis of the Efficient Market Hypothesis in relation to cryptocurrency, particularly Bitcoin, and its potential implications for the future of finance.