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This book explores advances in the application of innovative machine learning and artificial intelligence models to predict financial time series, to simulate the structure of the financial markets, to explore nonlinear causality models, to test investment strategies and to price financial options.
EdituraTaylor & Francis Ltd
Dimensiuni209 x 296 x 12
Data Publicarii25/09/2023
FormatNecartonata
Numar pagini120
Aceasta este o carte in limba engleza. Descrierea cartii (tradusa din engleza cu Google Translate) este in limba romana din motive legale.