摘要
为研究庄家的炒作及其风险抵御策略,稳定和繁荣证券市场,应用H∞优化控制理论,提出了股市中庄家的操盘及其风险抵御问题,得出了考虑来自多种不确定因素干扰的庄家操盘动态模型和风险评价模型,给出了庄家在炒作中的风险抵御策略.
Using H. optimal control theory, we proposed a problem on banker's, got a model thatcontains a dynamical disturbances from multiple kinds of uncertain conditions and perturbationsof model and arisk apprecintal equation, and gave a bander's operating strategy for attaining pricetarget and risk-withstanding index.
出处
《沈阳工业大学学报》
EI
CAS
1999年第6期546-549,554,共5页
Journal of Shenyang University of Technology
关键词
股市
庄家
炒作
风险
H∞控制
证券市场
stock market
banker
operation
risk
H. control
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