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  1. 1 Σεπ 2009 · A first order linear differential equation is used to describe the dynamics of an investment fund that promises more than it can deliver, also known as a Ponzi scheme. The model is based on a promised, unrealistic interest rate; on the actual, realized nominal interest rate; on the rate at which new deposits are accumulated and on the ...

  2. 2 Απρ 2009 · A computational approach to the mathematical model developed by Artzrouni (2009) to study Ponzi schemes is presented, which describes the dynamics of an investment fund that promises higher incomes than those it can effectively offer and simulates the impact on the success or the collapse of the investment fund. Expand.

  3. 1 Σεπ 2009 · A first order linear differential equation is used to describe the dynamics of an investment fund that promises more than it can deliver, also known as a Ponzi scheme.

  4. Here we wish to investigate the mathematics of Ponzi schemes by going beyond the simplistic pyramid-type explanations that rely on a more or less rapid doubling of the number of new investors.

  5. Here we wish to investigate the mathematics of Ponzi schemes by going beyond the simplistic pyramid-type explanations that rely on a more or less rapid doubling of the number of new investors. Madoff’s fund is only the most recent and perhaps biggest Ponzi scheme in history.

  6. The goal of this project is to construct a mathematical model of a simple Ponzi scheme. This model will track the flow of investment capital, the “returns” on investment, and their redistribution. The purpose is to study the stability and longevity of a Ponzi scheme. It is of most

  7. 25 Ιουν 2013 · His mathematical model of a political economy shows that the parameters of the Ponzi scheme are structured so that the expected losses from participating (i.e., lost investment minus expected net distribution from government bail-out) are not greater than the loss incurred by not participating (i.e., expected redistribution loss from the bail-out).

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