Chaos Theory in the Financial Markets : Applying Fractals , Fuzzy Logic , Genetic Algorithms , Swarm Simulation & The Monte Carlo Method

Chorafas , Dimitris N .

Chaos Theory in the Financial Markets : Applying Fractals , Fuzzy Logic , Genetic Algorithms , Swarm Simulation & The Monte Carlo Method - 1st ed. - New Delhi : S. Chand & Company Ltd. , 1995 . - xli .382 p . : ill. ; 24 cm

Implementing Chaos Theory in Financial Markets. Organization, Evolution, and the Edge of Chaos. Fundamental Notions Underlying the Theory of Complexity and Its Mathematics. Non Linear Equations and Fractals Underpinning Chaos Theory. The Essence of Genetic Algorithms and their Implementation. Predictors, Simulators, and Artificial Life at Santa Fe Institute. Non- Traditional Financial Analysis at MIT. Using Fuzzy Engineering in Financial Environments. Dealing with Uncertainty in the Financial Markets. Case Studies on How to Apply Fuzzy Engineering. Using the Monte Carlo Method in Financial Analysis.

8121909589


Investment
Financial Economic

Genetic Algorithms Fuzzy Engineering Advanced Financial Analysis Complexity Theory Fractals The Monte Carlo Method

332.63 / CHO
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