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141.
In recent work on non-cooperative network formation star-shaped networks play an important role. In a particular theoretical
model of Bala and Goyal (2000) center-sponsored stars are the only strict Nash networks. In testing this theoretical model,
Falk and Kosfeld (2003) do not find experimental evidence that players select the center-sponsored star. Based on a slight
modification of Bala and Goyal’s model, we design a network formation experiment in which, depending on link costs, periphery-sponsored
stars and the empty network are the only strict Nash networks. We observe that almost all groups not only reach a strict Nash
network once but also switch the center player in periphery-sponsored stars several times. The main innovation in our experiment
is to use a continuous time framework which we believe to be a more realistic setting to study behavior in network formation
situations and which makes coordination on stars much easier than simultaneous strategy adaptation in discrete time.
Electronic Supplementary Material Supplementary material is available in the online version of this article at http://dx.doi.org/10.1007/s10683-006-9125-1.
JEL Classification C72 · C92 · D81 相似文献
142.
Jarir S. Dajani Michael Z. Sincoff Wayne K. Talley 《Technological Forecasting and Social Change》1979,13(1):83-90
This paper addresses the question of the methodology of testing for stability between successive Delphi rounds and the necessity of doing so prior to the analysis of the level or type of consensus. Following a discussion of a hierarchical set of a criteria for determining the termination of such studies, the paper reviews some of the more common treatments of the subject in the literature. It is finally proposed that a χ2 test be used to test the stability of responses between rounds. The method is demonstrated by a numerical example. 相似文献
143.
A simple domestic lending rule is one that ensures that the loan rate exceeds the bank's cost of capital and the borrower's expected cashflows exceed the terminal value of the loan. Because a sovereign loan is not collateralized and lacks recourse, the domestic lending rule is not adequate for making sovereign lending decisions. Three modifications are suggested. First, the sovereign borrower's time preference for consumption needs to be considered. Second, the domestic borrower's decision to default voluntarily is made after observing the value of the collateral whereas the sovereign borrower's decision is made after observing earnings. In this paper, the sovereign borrower upgrades expectations in a Bayesian manner. Although no lending rule will completely prevent a default, the probability of default can be managed leading to a third modification. 相似文献
144.
This paper contains three subjects. First, an extension of Mokken's nonparametric item response models from dichotomous items to items with two or more ordered answer categories is proposed. Second, a computer program to analyze multicategory item scores is presented. This program is called MSP. The analyses by means of MSP are based on the multicategory extension of Mokken's theory. Finally, an application of MSP to empirical multicategory test data is presented in order to illuminate its possibilities. 相似文献
145.
T.S.K. Moothathu 《Statistica Neerlandica》1987,41(4):253-256
The case is investigated when Hoeffding's one sample U–statistic theorem for the sample variance S2 is not applicable. It is shown that this occurs only when the parent distribution is the two–point distribution with jumps of equal magnitude. For this exceptional case the standardised S2 is shown to converge in distribution to (1 – V )√2, where V has chi–square distribution with one degree of freedom. 相似文献
146.
In our earlier paper [Srivastava, Agnihotri and Dwivedi (1980)] the dominance of double k-class over k-class with respect to exact mean squared error matrix criteria is established. It is observed that given a member of k-class, one can pick up a member of double k-class that will provide an improved estimator of the coefficients. This result prompted us to study the exact finite sample properties of the double k-class estimator. For this, we have considered a structural equation containing two endogenous variables and have investigated the properties of double k-class estimators of the coefficients of explanatory endogenous variables assuming characterizing scalars to be non-stochastic. 相似文献
147.
148.
South Korea is a remarkable macroeconomic success story, but it has performed relatively poorly in one respect: the provision of high quality housing at reasonable prices. This paper analyzes the Korean housing market and the market for related inputs, with special emphasis on the regulatory environment. 相似文献
149.
150.