Review Article

Chaos Theory and Financial Markets: A Systematic Review of Crisis and Bubbles

Volume: 7 Number: 1 March 31, 2025
EN

Chaos Theory and Financial Markets: A Systematic Review of Crisis and Bubbles

Abstract

Financial markets have been characterized by various financial crises and unpredictable fluctuations and price movements. While traditional finance theories, which assume that financial markets are composed of rational participants, fail to explain the market dynamics that cause crises, chaos theory provides a powerful framework to make sense of the unpredictable, deterministic nature of markets. Chaos theory claims that market fluctuations are not random but have a specific mathematical pattern.This study presents a systematic literature review addressing the relationship between chaos theory and financial crises and speculative bubbles. By analyzing articles from the Web of Science database, its relationship with crisis and bubble dynamics, and the main methodological approaches. This study explores the effectiveness of chaos theory in understanding financial instability in the context of financial crises and bubbles by examining the research questions identified for the application of chaos theory in finance through Preferred Reporting Items for Systematic Reviews and Meta-Analyses methodology and keyword analysis.

Keywords

Ethical Statement

I, Oylum Şehvez Ergüzel, hereby declare that this manuscript titled “Chaos Theory and Financial Markets: A Systematic Review of Crisis and Bubbles” is an original work and has not been published or submitted for publication elsewhere. This study has been conducted in accordance with ethical research standards. The research does not involve any human participants, animals, or sensitive data requiring ethical approval. There are no conflicts of interest related to this research. All data sources have been properly cited, and due acknowledgment has been given to all contributors. I confirm that the manuscript complies with the ethical standards required by “Chaos Theory and Applications” and that all necessary permissions have been obtained. Oylum Şehvez Ergüzel Sakarya University 06.02.2025

References

  1. Altan, A., S. Karasu, and S. Bekiros, 2019 Digital currency forecasting with chaotic meta-heuristic bio-inspired signal processing techniques. Chaos, Solitons & Fractals 126: 325–336.
  2. Bariviera, A., M. Guercio, L. B. Martinez, and A. Rosso, 2015 The (in) visible hand in the Libor market: an information theory approach. The European Physical Journal B 88: 1–9.
  3. Bella, G. and P. Mattana, 2020 Chaos control in presence of financial bubbles. Economics Letters 193.
  4. Belle, A. and Y. Zhao, 2022 A Checklist-Based Approach to Assess the Abstracts of Reviews Self-Identifying as Systematic Reviews. 29th Asia-Pacific Software Engineering Conference (APSEC) pp. 502–506.
  5. BenSaïda, H., A.and Litimi, 2013 High level chaos in the exchange and index markets. Chaos,Solitons & Fractals 54: 90–95.
  6. Bianchi, S. and M. Frezza, 2017 Fractal stock markets: International evidence of dynamical (in)efficiency. Chaos: An Interdisciplinary Journal of Nonlinear Science 7.
  7. Bowden, M., 2012 Information contagion within small worlds and changes in kurtosis and volatility in financial prices. Journal of Macroeconomics 2: 553–566.
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Details

Primary Language

English

Subjects

Finance

Journal Section

Review Article

Publication Date

March 31, 2025

Submission Date

February 6, 2025

Acceptance Date

March 7, 2025

Published in Issue

Year 2025 Volume: 7 Number: 1

APA
Ergüzel, O. Ş. (2025). Chaos Theory and Financial Markets: A Systematic Review of Crisis and Bubbles. Chaos Theory and Applications, 7(1), 70-77. https://doi.org/10.51537/chaos.1634673
AMA
1.Ergüzel OŞ. Chaos Theory and Financial Markets: A Systematic Review of Crisis and Bubbles. CHTA. 2025;7(1):70-77. doi:10.51537/chaos.1634673
Chicago
Ergüzel, Oylum Şehvez. 2025. “Chaos Theory and Financial Markets: A Systematic Review of Crisis and Bubbles”. Chaos Theory and Applications 7 (1): 70-77. https://doi.org/10.51537/chaos.1634673.
EndNote
Ergüzel OŞ (March 1, 2025) Chaos Theory and Financial Markets: A Systematic Review of Crisis and Bubbles. Chaos Theory and Applications 7 1 70–77.
IEEE
[1]O. Ş. Ergüzel, “Chaos Theory and Financial Markets: A Systematic Review of Crisis and Bubbles”, CHTA, vol. 7, no. 1, pp. 70–77, Mar. 2025, doi: 10.51537/chaos.1634673.
ISNAD
Ergüzel, Oylum Şehvez. “Chaos Theory and Financial Markets: A Systematic Review of Crisis and Bubbles”. Chaos Theory and Applications 7/1 (March 1, 2025): 70-77. https://doi.org/10.51537/chaos.1634673.
JAMA
1.Ergüzel OŞ. Chaos Theory and Financial Markets: A Systematic Review of Crisis and Bubbles. CHTA. 2025;7:70–77.
MLA
Ergüzel, Oylum Şehvez. “Chaos Theory and Financial Markets: A Systematic Review of Crisis and Bubbles”. Chaos Theory and Applications, vol. 7, no. 1, Mar. 2025, pp. 70-77, doi:10.51537/chaos.1634673.
Vancouver
1.Oylum Şehvez Ergüzel. Chaos Theory and Financial Markets: A Systematic Review of Crisis and Bubbles. CHTA. 2025 Mar. 1;7(1):70-7. doi:10.51537/chaos.1634673

Cited By

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