首页> 外文期刊>Expert systems with applications >An agent-based simulation model for analyzing the governance of the Brazilian Financial System
【24h】

An agent-based simulation model for analyzing the governance of the Brazilian Financial System

机译:基于主体的仿真模型,用于分析巴西金融体系的治理

获取原文
获取原文并翻译 | 示例

摘要

Regulation can play an important role in effectively managing systemic risk while providing accountability to all affected governments. IMF points out weak governance structures as one of the main causes for financial/economical crisis. However, research in this area is still limited. One of the reasons is the inherent complexity of the public sector governance notion. In this research, the regulatory governance of the financial sector is conceived as a complex system, in which governance is perceived as a phenomenon resulting from the interactions among all the actors that influence or are influenced by regulatory activities within the financial sector. An agent-based simulation was developed to analyze and evaluate the emergent behaviors from the governance in the Brazilian finance sector under different macroeconomics variables and different attitudes, perceptions and desires of economic and political actors. The agent-based model is combined with an econometric model, which is intended to characterize the macroeco-nomic environment. The regulatory environment is modeled by computational agents using BDI (beliefs-desires-intentions) architecture. The agents have beliefs about their environment and desires they want to satisfy, thus leading them to create intentions to act. The agents' behavior was modeled using fuzzy rules built by means of content analysis of newspapers and in-depth interviews with experts from the financial area. Computational experiments demonstrate the potential of the agent-based model simulation in the study of complex environments involving regulatory governance.
机译:监管在有效管理系统性风险的同时,可以为所有受影响的政府提供问责制,可以发挥重要作用。货币基金组织指出,治理结构薄弱是造成金融/经济危机的主要原因之一。但是,该领域的研究仍然有限。原因之一是公共部门治理概念固有的复杂性。在本研究中,金融部门的监管治理被认为是一个复杂的系统,其中治理被视为一种现象,这种现象是由影响或受金融部门内部监管活动影响的所有行为者之间的相互作用引起的。开发了一种基于主体的模拟,以分析和评估巴西金融部门治理在不同的宏观经济变量以及经济和政治参与者的不同态度,看法和愿望下的新兴行为。基于主体的模型与计量经济学模型结合在一起,旨在表征宏观经济环境。监管环境由计算代理使用BDI(信念-愿望-意图)架构建模。代理人对自己的环境有信念,并希望满足他们的愿望,从而导致他们创造行动的意愿。代理商的行为是使用模糊规则来建模的,该模糊规则是通过报纸的内容分析和对金融领域专家的深入采访而建立的。计算实验证明了基于主体模型的模拟在研究涉及监管的复杂环境中的潜力。

著录项

相似文献

  • 外文文献
  • 中文文献
  • 专利
获取原文

客服邮箱:kefu@zhangqiaokeyan.com

京公网安备:11010802029741号 ICP备案号:京ICP备15016152号-6 六维联合信息科技 (北京) 有限公司©版权所有
  • 客服微信

  • 服务号