Why Most Financial Theories Are Wrong: Solutions to the Crisis in Financial Research

In this presentation, Marcos López de Prado discusses how empirical finance is in crisis as a result of decades of multiple testing, selection bias, and overfitting. Mr. López de Prado suggests that tenets held for the past 60 years may have to be revisited or abandoned, so a new finance may be built on a firmer foundation.

Released on 22 December 2016.

This is eligible for 1 CE credit.

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  • 56 mins 17 secs
This is eligible for 1 CE credit.