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金融危机发生时资金运作的数学模型研究
引用本文:曹旭东.金融危机发生时资金运作的数学模型研究[J].科技情报开发与经济,2004,14(7):105-107.
作者姓名:曹旭东
作者单位:山西财经大学应用数学系
摘    要:站在投资者或投机者的立场上,根据金融危机发生时危机发生国制定的各种政策法规,建立相应的数学模型,分析如何进行资金运作才能以最快的速度、最小的损失将资金从危机发生国撤离,从而保证己方资金的安全性。

关 键 词:金融危机  资金撤离  数学模型
文章编号:1005-6033(2004)07-0105-03
修稿时间:2004年4月1日

Study on the Mathematical Model of Funds Circulating during the Financial Crisis
CAO Xu,dong.Study on the Mathematical Model of Funds Circulating during the Financial Crisis[J].Sci-Tech Information Development & Economy,2004,14(7):105-107.
Authors:CAO Xu  dong
Institution:CAO Xu dong
Abstract:Standing by the investors and speculators, and according to various policies, laws and regulations made by the countries where the financial crisis occurs, this paper establishes corresponding mathematical model that is used to analyze how to run the funds at the quickest speed and the minimum loss for the purpose of withdrawing the funds from the countries where the financial crisis occurs and guaranteeing the safety of the funds of our own side.
Keywords:financial crisis  funds withdrawing  mathematical model  
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