Future WorkIn the future, I plan on also looking at more complex strategies. For example, I will start implementing mixed strategies in which different firms can sell off stocks using different methods. Also, I will continue to look at more varied initial conditions of the financial system. More specifically, I will continue to see how variations in the liabilities matrix, cash vector, and stock matrix change the effectiveness of different strategies. I will also consider modeling more realistic markets so my findings can be better applied to the real world.
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