About Probability Dynamics:
Set up in 2006, Probability Dynamics is a
quantitative investment management research company which uses applied
mathematics, computational modelling, and behavioural finance
methodology to identify trends in global financial markets.
Probability Dynamics is founded on the premise that financial
markets are, in reality, complex adaptive systems exhibiting behaviour
which can oscillate between calm and chaotic, efficient and inefficient.
To further this understanding, the company has a strong
interdisciplinary research component in chaos theory, complexity theory,
and signal processing techniques.
Probability Dynamics leverages high-performance computing to combine
a range of quantitative techniques (from finance, engineering, physics,
and mathematics) with a knowledge of market dynamics (gained from years
of trading experience) to develop non-linear mathematical models that
seek to identify behavioral trends on multiple timeframes across a
diverse portfolio of liquid assets.
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