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Správanie finančného trhu vzhľadom na riziko

In: Ekonomický časopis/Journal of Economics, vol. 54, no. 1
Jaroslav Zajac

Details:

Year, pages: 2006, 69 - 79
Keywords:
multi-agent financial markets, probability of risk operations JEL Classification: C70, G10
Article type: vedecký článok
About article:
The aim of my article was a research of behaviour of subjects at financial market via modern information technologies. The software application based on multi-agent simulations was developed for modelling of certain features of the project. Previously mentioned technology is new at the present time and in the area of financial and economical applications is still being developed. Financial market is a complicated system. Operations of the system can be described by, and enables to examine all subjects joining the financial market. Such multi-agent system enables to model different groups of agents, which in-teract with each other like in real life. The created software application is ori-ented on agents – or investors interaction at financial market. It enables to simu-late preset conditions of financial market and results using graph and charts.
How to cite:
ISO 690:
Zajac, J. 2006. Správanie finančného trhu vzhľadom na riziko. In Ekonomický časopis/Journal of Economics, vol. 54, no.1, pp. 69-79. 0013-3035.

APA:
Zajac, J. (2006). Správanie finančného trhu vzhľadom na riziko. Ekonomický časopis/Journal of Economics, 54(1), 69-79. 0013-3035.