Game Theory Models for Derivative Contracts : Financial Markets Stabilization and Credit Crunch, Complete Analysis and Coopetitive Solution

Language: English

Published by LAP Lambert Academic Publishing, 2012

3659130508 / 9783659130502

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Seller: AHA-BUCH GmbH, Einbeck, GermanyAHA-BUCH GmbH

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nach der Bestellung gedruckt Neuware - Printed after ordering - In the last 30 years, derivatives have become increasingly important in the world of finance. Their frequent use has caused instability on financial markets, so as to leave ample opportunities for profit to speculators with large capitals. Just the sudden price fluctuations and the strong speculative pressures have exacerbated the present economic crisis. The current financial system is based on virtual money which does not confluence into the real economy, remaining stuck in the finance world ('credit crunch' phenomenon). So, it becomes appropriate to establish the 'rules of the game', in order to redistribute the social wealth in a way at least close to the equity concept. Just this, as much as possible, we try to do in this work: we study a game theory model in which we see as a simple method (the application of a tax on speculative financial transactions) can cure a sick system, stabilizing the financial markets. The objective can be realized, as we shall see, without inhibiting the profit opportunity, nor for businesses nor for speculators. Also, in a second coopetitive game theory model, we propose a solution to the credit crunch, in order to allow a global economic recovery.

Seller Inventory # 9783659130502

Title
Game Theory Models for Derivative Contracts : Financial Markets Stabilization and Credit Crunch, Complete Analysis and Coopetitive Solution
Author
David Carfì
Publisher
LAP Lambert Academic Publishing
Publication year
2012
Condition
Neu
Binding
Taschenbuch
Language
English
ISBN 10
3659130508
ISBN 13
9783659130502
Item weight
245 grams
Dimensions
22.00x15.00x1.00 cm

AHA-BUCH GmbH

Einbeck, Germany

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AbeBooks seller since August 14, 2006

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