An analytic network process model for financial-crisis forecasting

被引:197
作者
Niemira, MP
Saaty, TL
机构
[1] Bank Tokyo Mitsubishi Ltd, Econ Res Dept, New York, NY 10020 USA
[2] Univ Pittsburgh, Katz Grad Sch Business, Pittsburgh, PA 15250 USA
关键词
financial crises; modeling; Analytic Network Process (ANP); 1991 US banking crisis;
D O I
10.1016/j.ijforecast.2003.09.013
中图分类号
F [经济];
学科分类号
02 ;
摘要
We discuss and develop an imbalance-crisis turning point model to forecast the likelihood of a financial crisis based on an Analytic Network Process framework. The Analytic Network Process (ANP) is a general theory of relative measurement used to derive composite-priority-ratio scales from individual-ratio scales that represent relative influence of factors that interact with respect to control criteria. Through its supermatrix, which is composed of matrices of column priorities, the ANP framework captures the outcome of dependence and feedback within and between clusters of explanatory factors. We argue that our framework is more flexible and is more comprehensive than traditional methods and previous models. We illustrate how the ANP model would be implemented for forecasting the probability of crises. (C) 2003 International Institute of Forecasters. Published by Elsevier B.V. All rights reserved.
引用
收藏
页码:573 / 587
页数:15
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