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Titlebook: Network Models in Economics and Finance; Valery A. Kalyagin,Panos M. Pardalos,Themistocles Book 2014 Springer International Publishing Sw

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發(fā)表于 2025-3-21 19:52:35 | 只看該作者 |倒序?yàn)g覽 |閱讀模式
書目名稱Network Models in Economics and Finance
編輯Valery A. Kalyagin,Panos M. Pardalos,Themistocles
視頻videohttp://file.papertrans.cn/663/662821/662821.mp4
概述Contains new tools for financial data mining and discusses the uncertainty of the network market analysis.Provides network analysis to the financial crises.Includes methods of network analysis applied
叢書名稱Springer Optimization and Its Applications
圖書封面Titlebook: Network Models in Economics and Finance;  Valery A. Kalyagin,Panos M. Pardalos,Themistocles  Book 2014 Springer International Publishing Sw
描述.Using network models to investigate the interconnectivity in modern economic systems allows researchers to better understand and explain some economic phenomena. This volume presents contributions by known experts and active researchers in economic and financial network modeling. Readers are provided with an understanding of the latest advances in network analysis as applied to economics, finance, corporate governance, and investments. Moreover, recent advances in market network analysis ?that focus on influential techniques for market graph analysis are also examined. Young researchers will find this volume particularly useful in facilitating their introduction to this new and fascinating field. Professionals in economics, financial management, various technologies, and network analysis, will find the network models presented in this book beneficial in analyzing the interconnectivity in modern economic systems..
出版日期Book 2014
關(guān)鍵詞Financial data mining; Market graph analysis; Market network analysis; Mathematics for economics and fi
版次1
doihttps://doi.org/10.1007/978-3-319-09683-4
isbn_softcover978-3-319-34603-8
isbn_ebook978-3-319-09683-4Series ISSN 1931-6828 Series E-ISSN 1931-6836
issn_series 1931-6828
copyrightSpringer International Publishing Switzerland 2014
The information of publication is updating

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Robustness of Sign Correlation in Market Network Analysis,een stocks influences the statistical errors in the calculation of network characteristics. It is shown that sign correlation is a robust measure of similarity in contrast with Pearson correlation widely used in market network analysis. This gives a possibility to get more precise information on stock market from observations.
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Book 2014find this volume particularly useful in facilitating their introduction to this new and fascinating field. Professionals in economics, financial management, various technologies, and network analysis, will find the network models presented in this book beneficial in analyzing the interconnectivity in modern economic systems..
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發(fā)表于 2025-3-22 14:53:26 | 只看該作者
Network Centrality and Key Economic Indicators: A Case Study,interest rates, observed during the European Debt Crisis 2009–2012, and points to underlying conflicts of interest on a national or international level, which may be taken into account when it comes to monetary and economic policy actions.
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發(fā)表于 2025-3-22 20:18:45 | 只看該作者
1931-6828 inancial crises.Includes methods of network analysis applied.Using network models to investigate the interconnectivity in modern economic systems allows researchers to better understand and explain some economic phenomena. This volume presents contributions by known experts and active researchers in
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Experimental Design Problems and Nash Equilibrium Solutions,assical sphere packing problem. Theoretical and computational results are presented for this location problem by virtue of a genetic algorithm procedure for both two- and three-dimensional test cases.
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Two Classes of Games on Polyhedral Sets in Systems Economic Studies,omic studies. Economic problems that appear in systems described by nonlinear mathematical models with linear constraints, in particular, by some network models, including (a) restructuring a company and positioning the restructured company in a market or in several markets, (b) forming a pool of re
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Densely Entangled Financial Systems,anc Stud 26:1291–1323, 2013) to show that as the number of counter-party neighbors increases the probability of counter-party risk also increases, and in particular the socially optimal solution becomes privately sustainable when each bank hedges its risk to at least . banks, where . is the number o
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