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金融物理学:一个简单的综述 被引量:1

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摘要 金融物理学是用统计物理、理论物理、复杂系统理论、非线性科学、应用数学等的概念、方法和理论研究金融市场通过自组织而涌现的宏观规律及其复杂性的一门新兴交叉学科。简言之,金融物理学家将金融市场看作一个复杂系统,把其中的各种数据如个股价格、指数、房价等看作是物理实验数据,力图寻找和阐释其中的“物理”规律。
作者 周炜星
出处 《世界科学》 2007年第6期20-22,共3页 World Science
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