Chaos theory in the financial markets Applying fractals, fuzzy logic, genetic algorithms, swarm simulation & the Monte Carlo method to manage market chaos & volatility
Chaos theory is a revolutionary approach to understanding and forecasting the behavior of complex systems. The theory, which utilizes nonlinear mathematics to identify the underlying rules of evolving systems, provides extraordinary insights into the dynamics of the financial markets. In so doing, D...
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Main Author: | Chorafas, Dimitris N. (Author) |
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Format: | Book |
Published: |
Chicago, Ill.
Probus Pub. Co.
1994
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Online Access: | Click Here to View Status and Holdings. |
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