서지주요정보
Artificial Intelligence for Financial Markets: The Polymodel Approach [electronic resource]
서명 / 저자 Artificial Intelligence for Financial Markets [electronic resource] : The Polymodel Approach / by Thomas Barrau, Raphael Douady.
저자명 Barrau, Thomas. author. aut http://id.loc.gov/vocabulary/relators/aut
Douady, Raphael. author. aut http://id.loc.gov/vocabulary/relators/aut
단체명 SpringerLink (Online service)
발행사항 Cham : Springer International Publishing : Imprint: Springer, 2022.
Online Access https://doi.org/10.1007/978-3-030-97319-3 URL

서지기타정보

서지기타정보
청구기호 H61.25
판사항 1st ed. 2022.
형태사항 XIV, 172 p. 87 illus., 58 illus. in color. online resource.
총서명 Financial Mathematics and Fintech, 2662-7175
언어 English
내용 1. Introduction -- 2. Polymodel Theory: An Overview -- 3. Estimation Method: the Linear Non-Linear Mixed Model -- 4. Predictions of Market Returns -- 5. Predictions of Industry Returns -- 6. Predictions of Specific Returns -- 7. Genetic Algorithm-Based Combination of Predictions -- 8. Conclusions -- 9. Appendix.
주제 Social sciences—Mathematics.
Mathematics in Business, Economics and Finance.
보유판 및 특별호 저록 Springer Nature eBook
Printed edition: 9783030973186 Printed edition: 9783030973209 Printed edition: 9783030973216
ISBN 9783030973193
기타 표준번호 10.1007/978-3-030-97319-3
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