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Fractal Approaches for Modeling Financial Assets and Predicting Crises
Fractal Approaches for Modeling Financial Assets and Predicting Crises
Examines the fractal structure and long-term memory of the financial markets in order to predict prices of financial assets and financial crises. Featuring coverage on a broad range of topics, such as computational process models, chaos theory, and game theory, this book is aimed at academics, researchers, and students seeking current research on pricing and predicting financial crises.
300 pages
Media | Books Hardcover Book (Book with hard spine and cover) |
Released | February 9, 2018 |
ISBN13 | 9781522537670 |
Publishers | IGI Global |
Pages | 300 |
Dimensions | 1.05 kg |
Language | English |
Editor | Christiansen, Bryan |
Editor | Karnaukhova, Oxana |
Editor | Nekrasova, Inna |