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【金融資産のモデリングと危機の予測のためのフラクタルアプローチ】

Fractal Approaches for Modeling Financial Assets and Predicting Crises '18

在庫状況 自社在庫有り  僅少 お届け予定日 3~4日  数量 冊 
価格 \54,811(税込)         

発行年月 2018年02月
出版社/提供元
出版国 アメリカ合衆国
言語 英語
媒体 冊子
装丁 hardcover
ページ数/巻数 300 p.
ジャンル 洋書/社会科学/経済学/金融経済学
ISBN 9781522537670
商品コード 1026515129
本の性格 学術書
新刊案内掲載月 2018年02月
商品URL
参照
https://kw.maruzen.co.jp/ims/itemDetail.html?itmCd=1026515129

内容

In an ever-changing economy, market specialists strive to find new ways to evaluate the risks and potential reward of economic ventures. They start by assessing the importance of human reaction during the economic planning process and put together systems to measure financial markets and their longevity. Fractal Approaches for Modeling Financial Assets and Predicting Crises is a critical scholarly resource that 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 geared towards academicians, researchers, and students seeking current research on pricing and predicting financial crises.

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