Recent advances in financial networks and agent-based model validation

被引:3
|
作者
Napoletano, Mauro [1 ,2 ,3 ]
Guerci, Eric [4 ]
Hanaki, Nobuyuki [4 ]
机构
[1] OFCE, Paris, France
[2] Univ Cote dAzur, SKEMA Business Sch, Sophia Antipolis, France
[3] Scuola Super Sant Anna, Sophia Antipolis, France
[4] Univ Cote dAzur, CNRS, GREDEG, 250 Rue Albert Einstein, F-06560 Valbonne, France
关键词
ECONOMIC-THEORY; MACROECONOMICS; SIMULATION; FRAGILITY; RISK;
D O I
10.1007/s11403-018-0221-z
中图分类号
F [经济];
学科分类号
02 ;
摘要
We introduce the papers appearing in the special issue of this journal associated with the WEHIA 2015. The papers in issue deal with two growing fields in the in the literature inspired by the complexity-based approach to economic analysis. The first group of contributions develops network models of financial systems and show how these models can shed light on relevant issues that emerged in the aftermath of the last financial crisis. The second group of contributions deals with the issue of validation of agent-based model. Agent-based models have proven extremely useful to account for key features economic dynamics that are usually neglected by more standard models. At the same time, agent-based models have been criticized for the lack of an adequate validation against empirical data. The works in this issue propose useful techniques to validate agent-based models, thus contributing to the wider diffusion of these models in the economic discipline.
引用
收藏
页码:1 / 7
页数:7
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