Analysis of a nonlinear financial model

IF 1.4 4区 数学 Q1 MATHEMATICS
G. Moza, E. Grecu, L. Tirtirau
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引用次数: 0

Abstract

"A three-dimensional nonlinear differential system for modeling inflation rate in a given economy is proposed and investigated in this article. Using a bifurcation-based method in the study, we describe the conditions leading to regions of stability for the long-term behavior of the model, which are economically desirable, along with regions of instability, which should be avoided in an economy."
非线性财务模型的分析
本文提出并研究了一个三维非线性微分系统,用于模拟给定经济中的通货膨胀率。在研究中使用基于分岔的方法,我们描述了导致模型长期行为稳定区域的条件,这在经济上是可取的,以及不稳定区域,这在经济中应该避免。”
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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来源期刊
Carpathian Journal of Mathematics
Carpathian Journal of Mathematics MATHEMATICS, APPLIED-MATHEMATICS
CiteScore
2.40
自引率
7.10%
发文量
21
审稿时长
>12 weeks
期刊介绍: Carpathian Journal of Mathematics publishes high quality original research papers and survey articles in all areas of pure and applied mathematics. It will also occasionally publish, as special issues, proceedings of international conferences, generally (co)-organized by the Department of Mathematics and Computer Science, North University Center at Baia Mare. There is no fee for the published papers but the journal offers an Open Access Option to interested contributors.
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