Data analytics and AI for quantitati...
Natarajan, Arul Kumar.

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  • Data analytics and AI for quantitative risk assessment and financial computation
  • Record Type: Electronic resources : Monograph/item
    Title/Author: Data analytics and AI for quantitative risk assessment and financial computation/ Mohammad Gouse Galety, Jimbo Henri Claver, A.V. Sriharsha, Narasimha Rao Vajjhala, Arul Kumar Natarajan, editors.
    remainder title: Data analytics and artificial intelligence for quantitative risk assessment and financial computation
    other author: Natarajan, Arul Kumar.
    Published: Hershey, Pennsylvania :IGI Global, : 2025.,
    Description: 1 online resource (xxix, 610 p.) :ill.
    [NT 15003449]: Preface -- Chapter 1. Foundations of AI and Machine Learning in Real Estate Valuation: An Analysis Using the California Housing Prices Dataset With Python Implementations -- Chapter 2. AI Innovations in Market Risk Analysis and VaR Modelling -- Chapter 3. Predictive Modeling in Finance: Harnessing Machine Learning Algorithms for Enhanced Decision Making -- Chapter 4. Financial Modelling 2.0: The Machine Learning Transformation -- Chapter 5. Predicting Exchange Rates Volatility Using Hybrid ARIMA-GARCH Model: A Comparative Analysis -- Chapter 6. Datalyse: Integrating Statistics and Computation for Streamlined Financial Data Analysis, Linear Model Building, and Time Series Analysis -- Chapter 7. Comparingthe Exact and Approximate Solutions of Financial-Type Stochastic Differential Equations -- Chapter 8. Ito's Calculus for Stock Price Prediction for the Johannesburg Stock Exchange Market -- Chapter 9. Diving Into the Performance of Supervised Learning Models for Forecasting the Indian Stock Market: A Case Study -- Chapter 10. Novel Applications of Data Analytics in Financial Markets: A Review and Exploration of Predictive Power -- Chapter 11. Random Matrix Approach for Analysis of the Johannesburg Stock Exchange -- Chapter 12. Selection and Analysis of Optimized Portfolio Sectors of Johannesburg Stock Markets -- Chapter 13. A Network-Based Approach to the Implications of the COVID-19 Pandemic on the Latin American Minimum Variance Portfolio -- Chapter 14. Statistical Optimization of Option Pricing Factors: Application of Taguchi's DOE -- Chapter 15. Charting the Ethical Landscape: A Holistic Examination of AI Ethics and Bias in the Financial Sector -- Chapter 16. The Ascending AI Era: Rerouting the Bubble Discourse -- Chapter 17. The Future of Risk Management in Healthcare: The Role of Artificial Intelligence -- Chapter 18. The Future of HR Analytics Using Machine Learning to Predict and Improve Employee Performance: Optimizing Workforce Strategy Through Advanced Data Analysis -- Chapter 19. The Transformative Journey of Sustainable Finance in Global Markets -- Chapter 20. The Art of Digital Engagement: Mastering Social Media Marketing -- Compilation of References -- About the Contributors -- Index.
    Subject: Risk assessment. -
    Online resource: https://services.igi-global.com/resolvedoi/resolve.aspx?doi=10.4018/979-8-3693-6215-0
    ISBN: 9798369362174
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