서브메뉴
검색
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 in the financial markets : applying fractals, fuzzy logic, genetic algorithms, swarm simulation & the Monte Carlo method to manage market chaos & volatility
Detailed Information
- 자료유형
- 단행본
- ISBN
- 1557385556
- 청구기호
- 327.4 C551c
- 서명/저자
- Chaos theory in the financial markets : applying fractals, fuzzy logic, genetic algorithms, swarm simulation & the Monte Carlo method to manage market chaos & volatility / Dimitris N. Chorafas
- 발행사항
- Chicago : Probus Pub. Co., 1994.
- 형태사항
- xli, 382 p. : ill ; 24 cm.
- 가격
- 15000
- Control Number
- kjul:60003807
MARC
008021218s1994 us 001a eng■020 ▼a1557385556
■035 ▼aKRIC00771380
■090 ▼a327.4▼bC551c
■1001 ▼aChorafas, Dimitris N.
■24510▼aChaos theory in the financial markets▼capplying fractals, fuzzy logic, genetic algorithms, swarm simulation & the Monte Carlo method to manage market chaos & volatility▼dDimitris N. Chorafas
■260 ▼aChicago▼bProbus Pub. Co.▼c1994.
■300 ▼axli, 382 p.▼bill▼c24 cm.
■653 ▼aCHAOS▼aTHEORY▼aFINANCIAL▼aMARKETS
■9500 ▼b15000
Preview
Export
ChatGPT Discussion
AI Recommended Related Books
Подробнее информация.
- Бронирование
- не существует
- моя папка
- Reference Materials for Thesis Writing
- Reference Materials for Research Ethics
- Job-Related Books


