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Econophysics of Systemic Risk and Network Dynamics

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Cover of 'Econophysics of Systemic Risk and Network Dynamics'

Table of Contents

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    Book Overview
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    Chapter 1 Diffusion of Defaults Among Financial Institutions
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    Chapter 2 Systemic Risk and Complex Systems: A Graph-Theory Analysis
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    Chapter 3 Omori Law After Exogenous Shocks on Supplier-Customer Network
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    Chapter 4 Aftershock Prediction for High-Frequency Financial Markets’ Dynamics
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    Chapter 5 How Unstable Are Complex Financial Systems? Analyzing an Inter-bank Network of Credit Relations
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    Chapter 6 Study of statistical correlations in intraday and daily financial return time series
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    Chapter 7 A Robust Measure of Investor Contrarian Behaviour
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    Chapter 8 Evolution of Zipf's Law for Indian Urban Agglomerations vis-à-vis Chinese Urban Agglomerations
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    Chapter 9 Reaction to Extreme Events in a Minimal Agent Based Model
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    Chapter 10 Predatory trading and risk minimisation: how to (b)eat the competition
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    Chapter 11 Statistical Mechanics of Labor Markets
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    Chapter 12 Kolkata Paise Restaurant Problem: An Introduction
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    Chapter 13 Kolkata Paise Restaurant Problem and the Cyclically Fair Norm
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    Chapter 14 An Introduction to Multi-player, Multi-choice Quantum Games: Quantum Minority Games & Kolkata Restaurant Problems
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    Chapter 15 Cluster Analysis and Gaussian Mixture Estimation of Correlated Time-Series by Means of Multi-dimensional Scaling
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    Chapter 16 Analyzing Crisis in Global Financial Indices
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    Chapter 17 Study of Systemic Risk Involved in Mutual Funds
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    Chapter 18 Characterizing Price Index Behavior Through Fluctuation Dynamics
Overall attention for this book and its chapters
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  • In the top 25% of all research outputs scored by Altmetric
  • High Attention Score compared to outputs of the same age (86th percentile)
  • High Attention Score compared to outputs of the same age and source (89th percentile)

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