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Chaos Theory on the Financial Markets: Applying Fractals, Fuzzy Logic, Genetic Algorithms, Swarm Simulation and the Monte Carlo Method to Manage Market Chaos and Volatility
Dimitris N. Chorafas
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Chaos Theory on the Financial Markets: Applying Fractals, Fuzzy Logic, Genetic Algorithms, Swarm Simulation and the Monte Carlo Method to Manage Market Chaos and Volatility
Dimitris N. Chorafas
Presents an approach to understanding and forecasting the behavior of complex systems. The theory provides insights into the dynamics of the financial markets. This book explores approaches that provide a different perspective on financial market analysis and forecasting. Topics in this book include the concepts and mathematics of chaos theory.
420 pages, 1
Media | Böcker Inbunden Bok (Inbunden bok med hårda pärmar och skyddsomslag) |
Releasedatum | 22 mars 1994 |
ISBN13 | 9781557385550 |
Utgivare | McGraw-Hill Education - Europe |
Antal sidor | 420 |
Mått | 158 × 184 × 35 mm · 802 g |
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