Preface
Chapter 1: Introduction: Breaking Boundaries in Modern Finance
Chapter 2: Behavioral Finance and Its Integration into Quantitative Models
Chapter 3: Toward A Comprehensive Economic Framework: The Role of Causal Models
Chapter 4: The Integration of Complexity Science In Financial Modeling
Chapter 5: The Role of Mathematical Modeling and New Economic Thinking in Modern Finance
Chapter 6: Emerging Risks and the Future of Quantitative Finance
Chapter 7: Entangling Markets: The Role of Quantum Probability in Financial Systems
Chapter 8: Rethinking Economics and Finance Through Complexity and Empirical Approaches
Chapter 9: Navigating Financial Innovation: From Data-Driven Decisions to Technological Disruption
Notes
References