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大概是从20世纪80年代的时候,金融系统就已经根据复杂性的科学理论应用于比较复杂和动态性的探索中,未来金融发展的趋势是能够实现更好的认知,优化和控制金融体系,这是非常创新的一个理论方向。但是目前的一些研究理论比较混乱,并且研究的理论也存在不系统的特点,所以,我们需要建立一个比较完善的具有复杂的性科学金融理论体系框架,从而可以更好地发展金融方面的理论,同时进行实践方面的指导。我们也会根据适应性,从而提出一种动态反馈的模式,来反映金融市场不断演化的途径,同事我们也要结合宏观市场存在的时空演变从金融系统的各个方面,建立起比较复杂的,宏观管理框架。
Probably from the 1980s, the financial system has been applied to the exploration of more complex and dynamic science based on the complex scientific theories. The trend of financial development in the future is to realize better cognition, optimization and control of the financial system This is a very innovative theoretical direction. However, some of the current research theories are confused and the theories of the research are not systematical. Therefore, we need to establish a comparatively perfect and comprehensive framework of the theoretical system of the science of human science, so that we can better develop the theory of finance, At the same time practical guidance. We will also propose a dynamic feedback model based on adaptability to reflect the continuous evolution of financial markets, colleagues, we also need to combine the macro-market evolution of space-time from all aspects of the financial system to establish a more complex macro Management Framework.