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Econophysics: finance, economics and physics

机译:经济物理学:金融,经济学和物理学

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This article examines the new science of ‘econophysics’ that utilizes physics models to explain economic and financial behaviour. First neologized in 1995, this innovative research methodology combines non-linear models, scaling laws, statistical mechanics and the Cauchy and Levy distributions to explain economic and financial behaviour more robustly than traditional economic and financial tools, which predominantly utilize linear models and Gaussian distributions. The conclusion of this article is that economics and finance will eventually absorb the powerful tools of econophysics as they continue to evolve as dominant social sciences.View full textDownload full textRelated var addthis_config = { ui_cobrand: "Taylor & Francis Online", services_compact: "citeulike,netvibes,twitter,technorati,delicious,linkedin,facebook,stumbleupon,digg,google,more", pubid: "ra-4dff56cd6bb1830b" }; Add to shortlist Link Permalink http://dx.doi.org/10.1080/13504851003596020
机译:本文研究了利用物理模型来解释经济和金融行为的“生态物理学”新科学。这种创新的研究方法于1995年首次采用新方法,它结合了非线性模型,比例定律,统计力学以及柯西和利维分布,从而比传统的主要使用线性模型和高斯分布的传统经济和金融工具更有效地解释了经济和金融行为。本文的结论是,随着经济学和金融学继续发展为主流社会科学,经济学和金融学将最终吸收它们的强大工具。查看全文下载全文相关的var addthis_config = {ui_cobrand:“泰勒和弗朗西斯在线”,services_compact:“ citeulike ,netvibes,twitter,technorati,可口,linkedin,facebook,stumbleupon,digg,google,更多”,发布:“ ra-4dff56cd6bb1830b”};添加到候选列表链接永久链接http://dx.doi.org/10.1080/13504851003596020

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