摘要
传统的混沌控制方法多应用于自然系统的混沌控制中 ,对于大量存在于经济系统中的混沌现象 ,这些方法显的无能为力 .基于此 ,将自适应控制法应用于房地产投资系统的混沌控制中 .首先介绍了自适应控制法的基本原理 ;然后应用该方法对房地产投资系统动力学模型进行了模拟控制 ;最后从经济学角度对控制结果进行了解释 ,从而为房地产投资宏观调控政策的制定提供了有益的理论指导 .
Conventional chaos control methods are frequently applied to the chaos control of natural systems. It seems that these methods are powerless for the great deal of chaotic phenomena existed in economic systems. Based on this point,the adaptive control method is applied to the chaos control of real estate investment system. The principle of adaptive control method is firstly introduced. Then,it is applied to the simulated control of dynamical model of real estate investment system. Finally,the control results are explained from the angle of economics,which can provide beneficial theoretical guidance for the formulation of macro-regulation and control policy of real estate investment.
出处
《系统工程理论与实践》
EI
CSCD
北大核心
2004年第3期99-102,共4页
Systems Engineering-Theory & Practice
基金
国家自然科学基金 (79970 0 43 )
关键词
自然系统
经济系统
房地产投资系统动力学模型
自适应控制法
宏观调控
natural systems
economic systems
dynamical model of real estate investment system
adaptive control method
macro-regulation and control