Chaos theory in the financial markets : applying fractals, fuzzy logic, genetic algorithms, swarm simulation & the Monte Carlo method to manage market chaos & volatility
Finna-arvio
Chaos theory in the financial markets : applying fractals, fuzzy logic, genetic algorithms, swarm simulation & the Monte Carlo method to manage market chaos & volatility
Tallennettuna:
Ulkoasu |
382 sivua : kuvitettu |
---|---|
Kieli |
englanti |
Alkuteoksen kieli |
englanti |
Julkaisija |
Chicago, IL :
Probus,
1994.
|
Aiheet | |
Lisätiedot | Dimitris N. Chorafas |
ISBN |
1-55738-555-6 |