Chaos Theory in the Financial Markets: Applying Fractals, Fuzzy Logic, Genetic Algorithms, Swarm Simulation & the Monte Carlo Method to Manage Market (PROFESSIONAL FINANCE & INVESTM)

Chaos Theory in the Financial Markets: Applying Fractals, Fuzzy Logic, Genetic Algorithms, Swarm Simulation & the Monte Carlo Method to Manage Market (PROFESSIONAL FINANCE & INVESTM)

by Masuteru Sekiguchi (Foreword), Richard Forsyth (Foreword), Ditmitris N. Chorafas (Author)

Synopsis

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, Dr. Chorafas explores a variety of new approaches that provide an entirely new perspective on financial market analysis and forecasting. Topics in this book include: the concepts and mathematics of chaos theory; using nonlinear equations and fractals to forecast the currency market; genetic algorithms and neural networks.

$91.14

Quantity

20+ in stock

More Information

Format: Illustrated
Pages: 420
Edition: Illustrated
Publisher: Irwin Professional Publishing
Published: 19 Mar 1994

ISBN 10: 1557385556
ISBN 13: 9781557385550

Author Bio
McGraw-Hill authors represent the leading experts in their fields and are dedicated to improving the lives, careers, and interests of readers worldwide