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Study of Financial Stability Based on Nonlinear Dynamic Theory

机译:基于非线性动力学理论的金融稳定性研究

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With the outbreak of global financial crisis, the stability of financial system has become a hot topic. Assuming financial system compositing of financial innovation and financial supervision, making use of nonlinear dynamic theory and Bertrand duopoly, we have deduced a nonlinear dynamic model of financial system and studied the stability of this system through model analysis and numerical simulation. We find that the stability of financial system is up to parameters in the system, when the parameters affecting stability of financial system are beyond its stable reach, the financial system will pass through double periodicity to financial chaos. Which has negative effects on the stability of financial system, if serious, may lead to bankrupt and financial crisis. At last, we successfully control financial chaos by the straight line stabilization method, and maintain the stability of financial system.
机译:随着全球金融危机的爆发,金融体系的稳定已成为一个热门话题。假设金融系统由金融创新和金融监管组成,利用非线性动力学理论和Bertrand双寡头,推导了金融系统的非线性动力学模型,并通过模型分析和数值模拟研究了该系统的稳定性。我们发现金融系统的稳定性取决于系统中的参数,当影响金融系统稳定性的参数超出其稳定范围时,金融系统将经历两次周期性波动,从而陷入金融混乱状态。如果对金融体系的稳定性产生严重的负面影响,则可能导致破产和金融危机。最后,我们通过直线稳定化方法成功地控制了金融混乱,并保持了金融体系的稳定性。

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