Результаты поиска по 'economics':
Найдено статей: 58
  1. Malsagov M.X., Ougolnitsky G.A., Usov A.B.
    Struggle against economic corruption in resource allocation
    Computer Research and Modeling, 2019, v. 11, no. 1, pp. 173-185

    A dynamic game theoretic model of struggle against corruption in resource allocation is considered. It is supposed that the system of resource allocation includes one principal, one or several supervisors, and several agents. The relations between them are hierarchical: the principal influences to the supervisors, and they in turn exert influence on the agents. It is assumed that the supervisor can be corrupted. The agents propose bribes to the supervisor who in exchange allocates additional resources to them. It is also supposed that the principal is not corrupted and does not have her own purposes. The model is investigated from the point of view of the supervisor and the agents. From the point of view of agents a non-cooperative game arises with a set of Nash equilibria as a solution. The set is found analytically on the base of Pontryagin maximum principle for the specific class of model functions. From the point of view of the supervisor a hierarchical Germeyer game of the type Г2t is built, and the respective algorithm of its solution is proposed. The punishment strategy is found analytically, and the reward strategy is built numerically on the base of a discrete analogue of the initial continuous- time model. It is supposed that all agents can change their strategies in the same time instants only a finite number of times. Thus, the supervisor can maximize his objective function of many variables instead of maximization of the objective functional. A method of qualitatively representative scenarios is used for the solution. The idea of this method consists in that it is possible to choose a very small number of scenarios among all potential ones that represent all qualitatively different trajectories of the system dynamics. These scenarios differ in principle while all other scenarios yield no essentially new results. Then a complete enumeration of the qualitatively representative scenarios becomes possible. After that, the supervisor reports to the agents the rewardpunishment control mechanism.

    Views (last year): 33. Citations: 1 (RSCI).
  2. Ketova K.V., Romanovsky Y.M., Rusyak I.G.
    Mathematical modeling of the human capital dynamic
    Computer Research and Modeling, 2019, v. 11, no. 2, pp. 329-342

    In the conditions of the development of modern economy, human capital is one of the main factors of economic growth. The formation of human capital begins with the birth of a person and continues throughout life, so the value of human capital is inseparable from its carriers, which in turn makes it difficult to account for this factor. This has led to the fact that currently there are no generally accepted methods of calculating the value of human capital. There are only a few approaches to the measurement of human capital: the cost approach (by income or investment) and the index approach, of which the most well-known approach developed under the auspices of the UN.

    This paper presents the assigned task in conjunction with the task of demographic dynamics solved in the time-age plane, which allows to more fully take into account the temporary changes in the demographic structure on the dynamics of human capital.

    The task of demographic dynamics is posed within the framework of the Mac-Kendrick – von Foerster model on the basis of the equation of age structure dynamics. The form of distribution functions for births, deaths and migration of the population is determined on the basis of the available statistical information. The numerical solution of the problem is given. The analysis and forecast of demographic indicators are presented. The economic and mathematical model of human capital dynamics is formulated on the basis of the demographic dynamics problem. The problem of modeling the human capital dynamics considers three components of capital: educational, health and cultural (spiritual). Description of the evolution of human capital components uses an equation of the transfer equation type. Investments in human capital components are determined on the basis of budget expenditures and private expenditures, taking into account the characteristic time life cycle of demographic elements. A one-dimensional kinetic equation is used to predict the dynamics of the total human capital. The method of calculating the dynamics of this factor is given as a time function. The calculated data on the human capital dynamics are presented for the Russian Federation. As studies have shown, the value of human capital increased rapidly until 2008, in the future there was a period of stabilization, but after 2014 there is a negative dynamics of this value.

    Views (last year): 34.
  3. Malkov S.Yu.
    Regimes with exacerbation in the history of mankind or memories of the future
    Computer Research and Modeling, 2019, v. 11, no. 5, pp. 931-947

    The article describes the modes with the exacerbation of social and biological history. The analysis of the possible causes of the sharp acceleration of biological and social processes in certain historical periods is carried out. Using mathematical modeling shows that hyperbolic trends in social and biological evolution may be the result of transitional processes in periods of expansion of ecological niches. Accelerating biological speciation due to the fact that its earlier life change inhabitancy, making it more diverse, saturating the organic, thus creating favourable conditions for the emergence of new species. In the social history of the expansion of ecological niches associated with technological revolutions, of which the most important were: Neolithic revolution — the transition from appropriating economy to producing economy (10 thousand years ago), “urban revolution” — a shift from the Neolithic epoch to the bronze epoch (5 thousand years ago), the “axial age” — transition to the development of iron tools (2.5 thousand years ago), the industrial revolution — the transition from manual labor to machine production (200 years ago). All of these technological revolutions have been accompanied by dramatic population growth, changes in social and political spheres. So, observed in the last century, hyperbolic nature of some demographic, economic growth and other indicators of world dynamics is a consequence of the transition process, which began as a result of the industrial revolution and to prepare for the transition of the society to a new stage of its development. Singularity point of hyperbolic trend shows the end of the initial phase of the process and marks the transition to the final stage. The mathematical model describing the demographic and economic changes in the era of change is proposed. It is shown that a direct analogue of the contemporary situation in this sense is the “axial age” (since 8 century BC to the beginning of our era). The existence of this analogy allows you to see into the future by studying the past.

  4. Basaeva E.K., Kamenetsky E.S., Khosaeva Z.K.
    Assessment of the elite–people interaction in post-soviet countries using the Bayesian approach
    Computer Research and Modeling, 2021, v. 13, no. 6, pp. 1233-1247

    A previously developed model that describes the dynamics of social tension in a society divided into two groups: the elite and the people was considered. This model took into account the impact of economic situation changes and the elite–people interaction. The model has been modified by including in the equation describing the tension of the people, a term that takes into account the adaptation of the people to the current situation.

    The model coefficients estimation is an important task, the solution of which allows obtaining information about the nature of the interaction between elite and people. We believe that the solution of the system of model equations with optimal coefficients is closest to the values of the indicator characterizing social tension. We used the normalized level of homicide rate as an indicator of social tension.

    The model contains seven coefficients. Two coefficients characterizing the influence of economic situation changes on elite and people are taken equal to each other and the same for all countries. We obtained their estimations using a simplified model that takes into account only the change in the economic situation and allows an analytical solution.

    The Bayesian approach was used to estimate the remaining five coefficients of model for post-Soviet countries. The prior probability densities of the four coefficients for all countries under consideration were taken to be the same. The prior probability density of fifth coefficient was considered to depend on the regime of government (authoritarian or «transitional»). We assumed that the calculated tension matches with the corresponding indicator of tension in cases where the difference between them does not exceed 5%.

    The calculations showed that for the post-Soviet countries, a good coincidence was obtained between the calculated values of the people tension and the normalized level of homicide rate. The coincidence is satisfactory only on average.

    The following main results was obtained at the work: under the influence of some «significant» events in 40% of post-Soviet countries, there was a rapid change in the nature of interaction between the elite and the people; regional feature have some influence on the elite–people interaction; the type of government does not significantly affect the elite–people interaction; the method for assessing the stability of the country by the value of the model coefficients is proposed.

  5. Jeeva N., Dharmalingam K.M.
    Sensitivity analysis and semi-analytical solution for analyzing the dynamics of coffee berry disease
    Computer Research and Modeling, 2024, v. 16, no. 3, pp. 731-753

    Coffee berry disease (CBD), resulting from the Colletotrichum kahawae fungal pathogen, poses a severe risk to coffee crops worldwide. Focused on coffee berries, it triggers substantial economic losses in regions relying heavily on coffee cultivation. The devastating impact extends beyond agricultural losses, affecting livelihoods and trade economies. Experimental insights into coffee berry disease provide crucial information on its pathogenesis, progression, and potential mitigation strategies for control, offering valuable knowledge to safeguard the global coffee industry. In this paper, we investigated the mathematical model of coffee berry disease, with a focus on the dynamics of the coffee plant and Colletotrichum kahawae pathogen populations, categorized as susceptible, exposed, infected, pathogenic, and recovered (SEIPR) individuals. To address the system of nonlinear differential equations and obtain semi-analytical solution for the coffee berry disease model, a novel analytical approach combining the Shehu transformation, Akbari – Ganji, and Pade approximation method (SAGPM) was utilized. A comparison of analytical results with numerical simulations demonstrates that the novel SAGPM is excellent efficiency and accuracy. Furthermore, the sensitivity analysis of the coffee berry disease model examines the effects of all parameters on the basic reproduction number $R_0$. Moreover, in order to examine the behavior of the model individuals, we varied some parameters in CBD. Through this analysis, we obtained valuable insights into the responses of the coffee berry disease model under various conditions and scenarios. This research offers valuable insights into the utilization of SAGPM and sensitivity analysis for analyzing epidemiological models, providing significant utility for researchers in the field.

  6. Polosin A.N., Chistyakova T.B.
    Modeling system of extrusion and forming polymeric materials for blown film quality control
    Computer Research and Modeling, 2014, v. 6, no. 1, pp. 137-158

    Flexible software for modeling polymeric film production by use of blown extrusion has been developed. It consists of library of mathematical models for extrusion and forming blown film, sub-system for changeover to new type of film and sub-system for investigation of extrusion and forming for film quality control under film production. The sub-system for changeover allows to choose the equipment of extrusion line on technical and economic indices, to synthesize 3D model of the line and to generate regulation ranges of regime parameters for given type of film. The sub-system for investigation allows to calculate temperature profiles of heating and cooling material, geometrical and optical characteristics of film depending on regime parameters for stages of extrusion and forming and to evaluate regime parameters ensuring given quality of polymeric film.

    Views (last year): 7. Citations: 3 (RSCI).
  7. Okhapkin V.P.
    Optimal control of the commercial bank investment including the reinvestment processes
    Computer Research and Modeling, 2014, v. 6, no. 2, pp. 309-319

    Article is devoted to the creation of a mathematical control of the bank investment process. The whole process of building optimal control may be divided into two components: in the first place, there is the identification of the functions describing the liquid capital movement in the bank and, in the second place, the use of these functions in the scheme of dynamic programming. Before this problem was discussed in the article "Optimal control of the bank investment as a factor of economic stability" in the 4th issue for 2012. In the present article considers this modification of the solution, in particular, we use ℜ(φ) as a function of reinvestment, where φ is inflow of liquid capital realized at the previous step of control.

    Views (last year): 6. Citations: 1 (RSCI).
  8. Orlova E.V.
    Model for economic interests agreement in duopoly’s making price decisions
    Computer Research and Modeling, 2015, v. 7, no. 6, pp. 1309-1329

    The model of market pricing in duopoly describing the prices dynamics as a two-dimensional map is presented. It is shown that the fixed point of the map coincides with the local Nash-equilibrium price in duopoly game. There have been numerically identified a bifurcation of the fixed point, shown the scheme of transition from periodic to chaotic mode through a doubling period. To ensure the sustainability of local Nashequilibrium price the controlling chaos mechanism has been proposed. This mechanism allows to harmonize the economic interests of the firms and to form the balanced pricing policy.

    Views (last year): 10. Citations: 2 (RSCI).
  9. Stepantsov M.Y.
    A discreet ‘power–society–economics’ model based on cellular automaton
    Computer Research and Modeling, 2016, v. 8, no. 3, pp. 561-572

    In this paper we consider a new modification of the discrete version of Mikhailov’s ‘power–society’ model, previously proposed by the author. This modification includes social-economical dynamics and corruption of the system similarly to continuous ‘power–society–economics–corruption’ model but is based on a stochastic cellular automaton describing the dynamics of power distribution in a hierarchy. This new version is founded on previously proposed ‘power–society’ system modeling cellular automaton, its cell state space enriched with variables corresponding to population, economic production, production assets volume and corruption level. The social-economical structure of the model is inherited from Solow and deterministic continuous ‘power–society–economics–corruption’ models. At the same time the new model is flexible, allowing to consider regional differentiation in all social and economical dynamics parameters, to use various production and demography models and to account for goods transit between the regions. A simulation system was built, including three power hierarchy levels, five regions and 100 municipalities. and a number of numerical experiments were carried out. This research yielded results showing specific changes of the dynamics in power distribution in hierarchy when corruption level increases. While corruption is zero (similar to the previous version of the model) the power distribution in hierarchy asymptotically tends to one of stationary states. If the corruption level increases substantially, volume of power in the system is subjected to irregular oscillations, and only much later tends to a stationary value. The meaning of these results can be interpreted as the fact that the stability of power hierarchy decreases when corruption level goes up.

    Views (last year): 8. Citations: 1 (RSCI).
  10. Varshavsky L.E.
    Studying indicators of development of oligopolistic markets on the basis of operational calculus
    Computer Research and Modeling, 2019, v. 11, no. 5, pp. 949-963

    The traditional approach to computing optimal game strategies of firms on oligopolistic markets and of indicators of such markets consists in studying linear dynamical games with quadratic criteria and solving generalized matrix Riccati equations.

    The other approach proposed by the author is based on methods of operational calculus (in particular, Z-transform). This approach makes it possible to achieve economic meaningful decisions under wider field of parameter values. It characterizes by simplicity of computations and by necessary for economic analysis visibility. One of its advantages is that in many cases important for economic practice, it, in contrast to the traditional approach, provides the ability to make calculations using widespread spreadsheets, which allows to study the prospects for the development of oligopolistic markets to a wide range of professionals and consumers.

    The article deals with the practical aspects of determining the optimal Nash–Cournot strategies of participants in oligopolistic markets on the basis of operational calculus, in particular the technique of computing the optimal Nash–Cournot strategies in Excel. As an illustration of the opportinities of the proposed methods of calculation, examples close to the practical problems of forecasting indicators of the markets of high-tech products are studied.

    The results of calculations obtained by the author for numerous examples and real economic systems, both using the obtained relations on the basis of spreadsheets and using extended Riccati equations, are very close. In most of the considered practical problems, the deviation of the indicators calculated in accordance with the two approaches, as a rule, does not exceed 1.5–2%. The highest value of relative deviations (up to 3–5%) is observed at the beginning of the forecasting period. In typical cases, the period of relatively noticeable deviations is 3–5 moments of time. After the transition period, there is almost complete agreement of the values of the required indicators using both approaches.

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