A game theoretic model of economic crises

被引:7
|
作者
Welburn, Jonathan W. [1 ]
Hausken, Kjell [2 ]
机构
[1] Univ Wisconsin, Dept Ind Engn, Madison, WI 53706 USA
[2] Univ Stavanger, Fac Social Sci, N-4036 Stavanger, Norway
基金
美国国家科学基金会;
关键词
Game theory; Sensitivity analysis; Economic risk; Default; Contagion; INTERDEPENDENCE; CONTAGION; CAPACITY;
D O I
10.1016/j.amc.2015.05.093
中图分类号
O29 [应用数学];
学科分类号
070104 ;
摘要
Global financial crises have revealed the systemic risk posed by economic contagion as the increasing interconnectedness of the global economy has allowed adverse events to spread across countries more easily. These adverse economic events can be attributed to contagion through either credit or trade channels, or to common macroeconomic conditions that cause adverse events in multiple countries even without contagion. We model this system as a game between five types of players: countries: central banks; banks; firms; and households. In this framework, we model strategic choices, conduct sensitivity analysis, and analyze the impacts of random shocks in two examples. Our results demonstrate that each of the three causes discussed above (contagion through credit channels, contagion through trade channels, or common macroeconomic conditions with no contagion) can lead to crises even if all agents in the model behave rationally. (C) 2015 Elsevier Inc. All rights reseived.
引用
收藏
页码:738 / 762
页数:25
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