2022
DOI: 10.2478/amns.2022.2.0163
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Financial Risk Prediction and Analysis Based on Nonlinear Differential Equations

Abstract: This paper attempts to use nonlinear differential equations as a research model. The purpose of this paper is to analyze the risk of financial management. This paper uses the chaos theory of a general nonlinear system to study the differential relationship of financial trouble. We use them to research and solve the management problems of the economic system. Then, this paper proposes a model related to the evolution of the economic system and the prediction of financial and financial risks. The research result… Show more

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