Strategic behavior in financial markets

Kannai Y, Rosenmüller J (2010)
Journal of Mathematical Economics 46(2): 148-162.

Zeitschriftenaufsatz | Veröffentlicht | Englisch
 
Download
Es wurden keine Dateien hochgeladen. Nur Publikationsnachweis!
Autor*in
Abstract / Bemerkung
We describe a financial market as a noncooperative game in strategic form. Agents may borrow or deposit money at a central bank and use the cash available to them in order to purchase a commodity for immediate consumption. They derive positive utility from consumption and from having cash reserves at the end of the day, whereas being bankrupt entails negative utility. The bank fixes interest rates. The existence of Nash equilibria (both mixed and pure) of the ensuing game is proved under various assumptions. In particular, no agent is bankrupt at equilibrium. Asymptotic behavior of replica markets is discussed, and it is shown that given appropriate assumptions, the difference between a strategic player and a price taker is negligible in a large economy. (C) 2009 Elsevier B.V. All rights reserved.
Stichworte
Strategic market games; Bankruptcy; Nash equilibria; Interest rates
Erscheinungsjahr
2010
Zeitschriftentitel
Journal of Mathematical Economics
Band
46
Ausgabe
2
Seite(n)
148-162
ISSN
0304-4068
Page URI
https://pub.uni-bielefeld.de/record/1796771

Zitieren

Kannai Y, Rosenmüller J. Strategic behavior in financial markets. Journal of Mathematical Economics. 2010;46(2):148-162.
Kannai, Y., & Rosenmüller, J. (2010). Strategic behavior in financial markets. Journal of Mathematical Economics, 46(2), 148-162. https://doi.org/10.1016/j.jmateco.2009.09.004
Kannai, Yakar, and Rosenmüller, Joachim. 2010. “Strategic behavior in financial markets”. Journal of Mathematical Economics 46 (2): 148-162.
Kannai, Y., and Rosenmüller, J. (2010). Strategic behavior in financial markets. Journal of Mathematical Economics 46, 148-162.
Kannai, Y., & Rosenmüller, J., 2010. Strategic behavior in financial markets. Journal of Mathematical Economics, 46(2), p 148-162.
Y. Kannai and J. Rosenmüller, “Strategic behavior in financial markets”, Journal of Mathematical Economics, vol. 46, 2010, pp. 148-162.
Kannai, Y., Rosenmüller, J.: Strategic behavior in financial markets. Journal of Mathematical Economics. 46, 148-162 (2010).
Kannai, Yakar, and Rosenmüller, Joachim. “Strategic behavior in financial markets”. Journal of Mathematical Economics 46.2 (2010): 148-162.
Export

Markieren/ Markierung löschen
Markierte Publikationen

Open Data PUB

Web of Science

Dieser Datensatz im Web of Science®
Suchen in

Google Scholar