{"id":{"repo_id":"catania","oai_identifier":"oai:www.iris.unict.it:20.500.11769/584072"},"canonical_url":"https://search.dev.ndltd.org/etd/catania/oai:www.iris.unict.it:20.500.11769/584072","repository":{"repo_id":"catania","name":"Università degli Studi di Catania","base_url":"https://www.iris.unict.it/oai/request"},"display":{"title":"Equilibria in epidemiology and in finance","abstract":"In this thesis we focus our attention on two applications of mathematical modeling to epidemiology and finance. In particular, we want to model two real situations: the spread of anorexia and bulimia among society and a financial network. The choice to model these two phenomena is that we want to model them using two different techniques from a mathematical point of view. In both studied problems, we look for the equilibria of the model and we want to predict the future.","abstract_html":"In this thesis we focus our attention on two applications of mathematical modeling to epidemiology and finance. In particular, we want to model two real situations: the spread of anorexia and bulimia among society and a financial network. The choice to model these two phenomena is that we want to model them using two different techniques from a mathematical point of view. 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