Exogenous and endogenous market crashes as phase transitions in complex financial systems

被引:12
|
作者
Fry, J. M. [1 ]
机构
[1] Univ Sheffield, Sch Management, Sheffield, S Yorkshire, England
来源
EUROPEAN PHYSICAL JOURNAL B | 2012年 / 85卷 / 12期
关键词
LOG-PERIODICITY; BUBBLES;
D O I
10.1140/epjb/e2012-30234-8
中图分类号
O469 [凝聚态物理学];
学科分类号
070205 ;
摘要
In this paper we provide a unifying framework for a set of seemingly disparate models for exogenous and endogenous shocks in complex financial systems. Markets operate by balancing intrinsic levels of risk and return. This remains true even in the midst of transitory exogenous and endogenous shocks. Changes in market regime (bearish to bullish and bullish to bearish) can be explicitly shown to represent a phase transition from random to deterministic behaviour in prices. The resulting models refine the empirical analysis in a number of previous papers.
引用
收藏
页数:6
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