控制新的金融风险传染动态模型的控制基于有限时间干扰
Yifeng Wei1, Chengrong Xie2, Xia Qing3,4
1School of Economy and Management, Hanjiang Normal University, Shiyan 442000, China.
Entropy (Basel, Switzerland)
|January 8, 2025
概括
这项研究引入了一种新的混乱系统模型,用于金融风险传染和保护隐私的控制器. 该系统实现了有限时间同步和数据安全,通过模拟来验证.
科学领域:
- 复杂系统动力学 复杂系统动力学
- 金融工程是金融工程.
- 控制理论 控制理论
背景情况:
- 混乱系统具有广泛的应用,需要更深入的研究.
- 金融风险传染模型对于经济稳定至关重要.
- 系统控制和数据隐私在现代应用中至关重要.
研究的目的:
- 通过使用混乱系统,提出一种新的金融风险传播动态模型.
- 为控制系统开发一个有限时间的隐私保护控制器.
- 分析拟议模型的动态特性和有效性.
主要方法:
- 基于金融原则的新型混乱系统模型的开发.
- 系统动态的分析,包括平衡点,消散性,Poincaré和分叉图.
- 设计一个有限时间控制器,使用利亚普诺夫稳定性原理和扰乱来保护隐私.
- 通过数值模拟进行验证.
主要成果:
- 成功提出了一种新的混乱系统模型,用于金融风险的传染.
- 设计的控制器实现了混乱系统的有限时间同步.
- 在数据传输过程中,控制者有效地保护了系统隐私.
- 数字模拟证实了模型和控制器的有效性.
结论:
- 拟议的混乱系统模型为金融风险传染提供了新的视角.
- 有限时间隐私保护控制器确保了安全和同步的系统运行.
- 这项研究有助于推进金融和安全控制中的混乱系统.
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