TY - BOOK AU - Chorafas , Dimitris N . TI - Chaos Theory in the Financial Markets: Applying Fractals , Fuzzy Logic , Genetic Algorithms , Swarm Simulation & The Monte Carlo Method SN - 8121909589 U1 - 332.63 PY - 1995/// CY - New Delhi PB - S. Chand & Company Ltd. KW - Investment KW - Financial Economic KW - Genetic Algorithms KW - Fuzzy Engineering KW - Advanced Financial Analysis KW - Complexity Theory KW - Fractals KW - The Monte Carlo Method N1 - 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 ER -