基于混沌理论的金融系统稳定性研究
    点此下载全文
引用本文:李立华,张 强.基于混沌理论的金融系统稳定性研究[J].经济数学,2010,27(4):67-72
摘要点击次数: 1620
全文下载次数: 306
作者单位
李立华,张 强 (湖南大学 金融与统计学院,湖南 长沙 410079) 
中文摘要:运用混沌理论,研究了金融系统稳定性问题.首先,通过理论分析得出金融系统的稳定性主要受金融创新、金融监管以及投资者的非理性行为三方面的因素共同影响;其次,借助混沌动力学中的Logistic模型,从模型分析与数值模拟两个方面,对金融创新与金融监管这两个主要因素如何影响金融系统稳定性展开了深入的研究.最后,〖HT5"〗提出了当前在进行金融创新的同时,须加强金融创新与金融监管的协调发展,以保障金融系统稳定、有序运行,进而为经济社会的发展营造一个良好的金融环境.
中文关键词:金融稳定  金融创新  金融监管  Logistic模型
 
Study on Financial System Stability Based on Chaos Theory
Abstract:Using the chaos theory, the stability of financial system was studied. Firstly, we obtain that the financial system stability is mainly affected by financial innovation, financial supervision and irrational behavior of investors through theoretical analysis. Then, the ways of financial innovation and financial supervision to affect the financial system stability was studied based on the Logistic model from theoretical analysis and numerical simulation. At last, we propose that,in order to keep the financial system stable and orderly, it is needed to keep the coordinal development of financial innovation and financial supervision,which can create good financial environment for the development of economic and society.
keywords:financial stability, financial innovation, financial supervision, Logistic model
查看全文   查看/发表评论   下载pdf阅读器