
Adaptive Finance
Embracing Uncertainty and Complexity
$133.34
- Paperback
232 pages
- Release Date
24 March 2026
Summary
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…
Book Details
| ISBN-13: | 9780262051415 |
|---|---|
| ISBN-10: | 0262051419 |
| Author: | Frank J. Fabozzi, Sergio Focardi |
| Publisher: | MIT Press Ltd |
| Imprint: | MIT Press |
| Format: | Paperback |
| Number of Pages: | 232 |
| Release Date: | 24 March 2026 |
| Weight: | 369g |
| Dimensions: | 229mm x 152mm |
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What They're Saying
Critics Review
“Fabozzi and Focardi masterfully describe a broad range of technological innovations and emerging risks shaping the practice of finance. They display extraordinary scholarship in a way that is succinct though hardly superficial, and with remarkable clarity. “
—Mark Kritzman, CEO, Windham Capital Management; Senior Lecturer, MIT Sloan School
“Adaptive Finance offers a concise, accessible, and compelling survey of modern finance’s evolving frontiers—curating key debates, innovations, and challenges with clarity and insight. Fabozzi and Focardi have produced an invaluable resource for practitioners and scholars alike.”
—Andrew B. Weisman, Founding Partner, Market Revealed Preference
“It is rare when a book can bridge the gap between academics and pragmatic portfolio management. Yet, Adaptive Finance seamlessly achieves this balance.”
—Mark Anson, CEO and CIO, Commonfund; author of The Handbook of Alternative Assets
About The Author
Frank J. Fabozzi
Frank J. Fabozzi is Professor of Practice at Johns Hopkins Carey Business School. He is the author of Entrepreneurial Finance and Accounting for High-Tech Companies and Introduction to Fixed-Income Analysis and Portfolio Management, and coauthor of Bond Markets, Analysis, and Strategies, Tenth Edition, and Foundations of Global Financial Markets and Institutions (all MIT Press).
Sergio Focardi is Professor at the University of Genoa, where he teaches risk management and financial engineering. He has taught at EDHEC Business School at Stony Brook University, Princeton University, and P le Universitaire Leonard-de-Vinci, near Paris. He is the author or coauthor of 24 books and more than 100 peer-reviewed papers.
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