Artificial Intelligence and Big Data for Financial Risk Management: Intelligent Applications 1st Edition Noura Metawa – Ebook Instant Download/Delivery ISBN(s): 9781000645293, 1000645290
Product details:
- ISBN 10:1000645290
- ISBN 13: 9781000645293
- Author: Noura Metawa
Artificial Intelligence and Big Data for Financial Risk Management
Intelligent Applications
Table contents:
1 Grey Model as a Tool in Dynamic Portfolio Selection: Simple Applications
2 Predicting Financial Statement Fraud Using Artificial Neural Networks
3 Bank Network Credit Model and Risk Management System Based on Big Data Technology
4 Deep Learning in Detecting Financial Statement Fraud: An Application of Deep Neural Network (DNN)
5 Predicting Stock Return Risk and Volatility Using Neural Network: The Case of the Egyptian Stock Exchange
6 Operation Analysis of Financial Sharing Center Based on Big Data Sharing Technology: Taking SF Express as an Example
7 Optimization Algorithms for Multiple-Asset Portfolios with Machine Learning Techniques: Theoretical Foundations of Optimum and Coherent Economic Capital Structures
8 Random Forest and Grey Methodology in Dynamic Portfolio Selection
9 The Role of Blockchain in Financial Applications: Architecture, Benefit, and Challenges
10 Using Computer Blockchain Technology to Analyze the Development Trend of China’s Modern Financial Industry
11 Financial Efficiency Differentiation Based on Data Quantitative Analysis under Big Data Technology
12 Optimization Algorithms for Multiple-Asset Portfolios with Machine Learning Techniques: Practical Applications with Forecasting of Optimum and Coherent Economic Capital Structures
13 An Overview of Neural Network in Financial Risk Management
People also search:
artificial intelligence and big data for financial risk management