Chaos refers increasingly unpredictable, chaotic and non-linear dynamic systems. Chaos teory’s aim in finance is analyse the deterministic equation’s chaotic behaviors. Financial markets have partly non-linear structure. Because of the chaotic price movements in markets, classic evaluation techniques don’t give intended result. Thus, today in risk analysis soft computing methods, antificial neural networks and non-linear statistical forecasting methods are used by analysts.
chaos referring to unpredictable chaotic and nonlinear dynamic systems chaos teory’s aim in finance is analyze the deterministic threat’s chaotic behaviors financial markets have partly nonlinear structure because of the chaotic price movements in markets classic assessment techniques don’t give results in risk analysis soft computing methods antificial neural networks and nonlinear statistical forecasting methods are used by analysts
Alan : Sosyal, Beşeri ve İdari Bilimler
Dergi Türü : Uluslararası
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