摘要
本文提出金融系统作为一类复杂适应性系统,应当引入CAS理论对其进行研究,以期从一个崭新的角度解释现象、研究问题和提出对策。指出建立概念模型和模拟模型是应用复杂适应性研究金融问题的两个着眼点,复杂适应性理论的发现是研究与管理金融事务的新思想与契机。
This paper aims to point out that the financial system as a complexity-adaptive System,should be examined in reference of CAS theory in order to take a new view for interpreting and discussing the phenomena,and suggesting some countermeasures.The present author also argue that the establishment of the conception model and the simulation model are the two respects in the research of financial system in the complexity-adaptive view.Thus CAS is not only a new methodology but also a constructive way to propose good projects.It is clear that the discovery of the complexity-adaptive theory has presented a new and good view for studying and managing financial affairs.
出处
《北京理工大学学报(社会科学版)》
2003年第6期30-32,共3页
Journal of Beijing Institute of Technology:Social Sciences Edition