Financial Risk Prediction and Analysis Based on Nonlinear Differential Equations
, e
15 lug 2022
INFORMAZIONI SU QUESTO ARTICOLO
Pubblicato online: 15 lug 2022
Pagine: 1753 - 1760
Ricevuto: 21 apr 2022
Accettato: 17 giu 2022
DOI: https://doi.org/10.2478/amns.2022.2.0163
Parole chiave
© 2023 Jianmin Tang et al., published by Sciendo
This work is licensed under the Creative Commons Attribution 4.0 International License.
This paper attempts to use nonlinear differential equations as a research model. The purpose of this paper is to analyze the risk of financial management. This paper uses the chaos theory of a general nonlinear system to study the differential relationship of financial trouble. We use them to research and solve the management problems of the economic system. Then, this paper proposes a model related to the evolution of the economic system and the prediction of financial and financial risks. The research results show that the method proposed in this paper can realize the synchronization and balance point control of general economic chaotic systems.
