STUDY OF FINANCIAL MARKETS BY USING NONLINEAR METHODS

Authors

  • В. М. АНДРЄЄВА
  • С. О. ТУТОВА

Abstract

Studied specific methods for adequately assess the fragility of the financial system and the associated risks. The possibilities with regard to forecasting the financial markets and to analyze their capacity for self-organization, which provides economic dynamics - the science that uses nonlinear methods to study the behavior of economic systems in equilibrium and disequilibrium.

How to Cite

, & . (2013). STUDY OF FINANCIAL MARKETS BY USING NONLINEAR METHODS. Municipal Economy of Cities, (96), 383–390. Retrieved from https://khg.kname.edu.ua/index.php/khg/article/view/1050