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浙江大学学报(人文社会科学版) 2001
Research of Chaos Theory on the Risk Control in Finance System
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Abstract:
Management and control of risk in finance system lie in the knowledge of law and mechanism of finance system. The paper first suggests risk in finance system has the feature of chaos, then discusses the factors, mechanism and some measure of risk control by Duffing-Holmes model, as well as some methodological argumentation about the application of chaos theory on the risk control in finance system.