Data analytics and AI for quantitative risk assessment and financial computation:
"In today's fast-paced financial landscape, professionals face an uphill battle in effectively integrating data analytics and artificial intelligence (AI) into quantitative risk assessment and financial computation. The constantly increasing volume, velocity, and variety of data generated...
Gespeichert in:
Weitere Verfasser: | , , , , |
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Format: | Elektronisch E-Book |
Sprache: | English |
Veröffentlicht: |
Hershey, Pennsylvania (701 E. Chocolate Avenue, Hershey, Pennsylvania, 17033, USA)
IGI Global
2025.
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Schriftenreihe: | Advances in computational intelligence and robotics (ACIR) book series.
|
Schlagworte: | |
Online-Zugang: | DE-863 |
Zusammenfassung: | "In today's fast-paced financial landscape, professionals face an uphill battle in effectively integrating data analytics and artificial intelligence (AI) into quantitative risk assessment and financial computation. The constantly increasing volume, velocity, and variety of data generated by digital transactions, market exchanges, and social media platforms offer unparalleled financial analysis and decision-making opportunities. However, professionals need sophisticated AI technologies and data analytics methodologies to harness this data for predictive modeling, risk assessment, and algorithmic trading. Navigating this complex terrain can be daunting, and a comprehensive guide that bridges theory and practice is necessary. Data Analytics and AI for Quantitative Risk Assessment and Financial Computation is an all-encompassing reference for finance professionals, risk managers, data scientists, and students seeking to leverage the transformative power of AI and data analytics in finance. The book encapsulates this integration's theoretical underpinnings, practical applications, challenges, and future directions, empowering readers to enhance their analytical capabilities, make informed decisions, and stay ahead in the competitive financial landscape."-- |
Beschreibung: | 26 PDFs (640 Seiten) Also available in print. |
Format: | Mode of access: World Wide Web. |
Bibliographie: | Includes bibliographical references and index. |
ISBN: | 9798369362174 |
Zugangseinschränkungen: | Restricted to subscribers or individual electronic text purchasers. |
Internformat
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245 | 0 | 0 | |a Data analytics and AI for quantitative risk assessment and financial computation |c Mohammad Gouse Galety, Jimbo Henri Claver, A.V. Sriharsha, Narasimha Rao Vajjhala, Arul Kumar Natarajan, editors. |
246 | 3 | |a Data analytics and artificial intelligence for quantitative risk assessment and financial computation | |
264 | 1 | |a Hershey, Pennsylvania (701 E. Chocolate Avenue, Hershey, Pennsylvania, 17033, USA) |b IGI Global |c 2025. | |
300 | |a 26 PDFs (640 Seiten) | ||
336 | |a text |2 rdacontent | ||
337 | |a electronic |2 isbdmedia | ||
338 | |a online resource |2 rdacarrier | ||
490 | 1 | |a Advances in computational intelligence and robotics (ACIR) book series | |
504 | |a Includes bibliographical references and index. | ||
505 | 0 | |a 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. Comparing the 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. | |
506 | |a Restricted to subscribers or individual electronic text purchasers. | ||
520 | 3 | |a "In today's fast-paced financial landscape, professionals face an uphill battle in effectively integrating data analytics and artificial intelligence (AI) into quantitative risk assessment and financial computation. The constantly increasing volume, velocity, and variety of data generated by digital transactions, market exchanges, and social media platforms offer unparalleled financial analysis and decision-making opportunities. However, professionals need sophisticated AI technologies and data analytics methodologies to harness this data for predictive modeling, risk assessment, and algorithmic trading. Navigating this complex terrain can be daunting, and a comprehensive guide that bridges theory and practice is necessary. Data Analytics and AI for Quantitative Risk Assessment and Financial Computation is an all-encompassing reference for finance professionals, risk managers, data scientists, and students seeking to leverage the transformative power of AI and data analytics in finance. The book encapsulates this integration's theoretical underpinnings, practical applications, challenges, and future directions, empowering readers to enhance their analytical capabilities, make informed decisions, and stay ahead in the competitive financial landscape."-- |c Provided by publisher. | |
530 | |a Also available in print. | ||
538 | |a Mode of access: World Wide Web. | ||
588 | |a Description based on title screen (IGI Global, viewed 12/09/2024). | ||
650 | 0 | |a Artificial intelligence. | |
650 | 0 | |a Evolutionary computation. | |
650 | 0 | |a Financial engineering. | |
650 | 0 | |a Quantitative research. | |
650 | 0 | |a Risk assessment. | |
653 | |a AI Ethics and Bias in Financial Models. | ||
653 | |a Algorithmic Trading and High-Frequency Trading (HFT) | ||
653 | |a Artificial Intelligence and Beyond. | ||
653 | |a Big Data Technologies in Finance. | ||
653 | |a Blockchain and Cryptocurrencies Risk Assessment. | ||
653 | |a Credit Risk Modeling and Assessment. | ||
653 | |a Derivative Pricing. | ||
653 | |a Fundamentals of Data Analytics and AI. | ||
653 | |a Liquidity Risk Measurement and Management. | ||
653 | |a Machine Learning Algorithms for Financial Modeling. | ||
653 | |a Market Risk Analysis and Value at Risk (VaR) Models. | ||
653 | |a Natural Language Processing (NLP) in Financial Analysis. | ||
653 | |a Operational Risk Management. | ||
653 | |a Portfolio Optimization and Asset Allocation. | ||
653 | |a Probability Theory and Statistical Analysis for Risk Assessment. | ||
655 | 4 | |a Electronic books. | |
700 | 1 | |a Claver, Jimbo Henri |e editor. | |
700 | 1 | |a Galety, Mohammad Gouse |d 1976- |e editor. | |
700 | 1 | |a Natarajan, Arul Kumar |e editor. | |
700 | 1 | |a Sriharsha, A. V. |e editor. | |
700 | 1 | |a Vajjhala, Narasimha Rao |e editor. | |
710 | 2 | |a IGI Global, |e publisher. | |
776 | 0 | 8 | |i Print version: |z 9798369362150 |
830 | 0 | |a Advances in computational intelligence and robotics (ACIR) book series. | |
966 | 4 | 0 | |l DE-863 |p ZDB-98-IGB |q FWS_PDA_IGB |u https://services.igi-global.com/resolvedoi/resolve.aspx?doi=10.4018/979-8-3693-6215-0 |3 Volltext |
912 | |a ZDB-98-IGB | ||
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Datensatz im Suchindex
DE-BY-FWS_katkey | ZDB-98-IGB-00343101 |
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adam_text | |
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author2 | Claver, Jimbo Henri Galety, Mohammad Gouse 1976- Natarajan, Arul Kumar Sriharsha, A. V. Vajjhala, Narasimha Rao |
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author_facet | Claver, Jimbo Henri Galety, Mohammad Gouse 1976- Natarajan, Arul Kumar Sriharsha, A. V. Vajjhala, Narasimha Rao |
building | Verbundindex |
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callnumber-first | H - Social Science |
callnumber-label | HD61 |
callnumber-raw | HD61 .D38 2025e |
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callnumber-subject | HD - Industries, Land Use, Labor |
collection | ZDB-98-IGB |
contents | 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. Comparing the 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. |
ctrlnum | (CaBNVSL)slc00007185 (OCoLC)1479494471 |
dewey-full | 658.155$223 |
dewey-hundreds | 600 - Technology (Applied sciences) |
dewey-ones | 658 - General management |
dewey-raw | 658.155 $223 |
dewey-search | 658.155 $223 |
dewey-sort | 3658.155 3223 |
dewey-tens | 650 - Management and auxiliary services |
discipline | Wirtschaftswissenschaften |
format | Electronic eBook |
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genre | Electronic books. |
genre_facet | Electronic books. |
id | ZDB-98-IGB-00343101 |
illustrated | Not Illustrated |
indexdate | 2025-03-07T12:04:12Z |
institution | BVB |
isbn | 9798369362174 |
language | English |
oclc_num | 1479494471 |
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owner_facet | DE-863 DE-BY-FWS |
physical | 26 PDFs (640 Seiten) Also available in print. |
psigel | ZDB-98-IGB FWS_PDA_IGB ZDB-98-IGB |
publishDate | 2025 |
publishDateSearch | 2025 |
publishDateSort | 2025 |
publisher | IGI Global |
record_format | marc |
series | Advances in computational intelligence and robotics (ACIR) book series. |
series2 | Advances in computational intelligence and robotics (ACIR) book series |
spelling | 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. Data analytics and artificial intelligence for quantitative risk assessment and financial computation Hershey, Pennsylvania (701 E. Chocolate Avenue, Hershey, Pennsylvania, 17033, USA) IGI Global 2025. 26 PDFs (640 Seiten) text rdacontent electronic isbdmedia online resource rdacarrier Advances in computational intelligence and robotics (ACIR) book series Includes bibliographical references and index. 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. Comparing the 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. Restricted to subscribers or individual electronic text purchasers. "In today's fast-paced financial landscape, professionals face an uphill battle in effectively integrating data analytics and artificial intelligence (AI) into quantitative risk assessment and financial computation. The constantly increasing volume, velocity, and variety of data generated by digital transactions, market exchanges, and social media platforms offer unparalleled financial analysis and decision-making opportunities. However, professionals need sophisticated AI technologies and data analytics methodologies to harness this data for predictive modeling, risk assessment, and algorithmic trading. Navigating this complex terrain can be daunting, and a comprehensive guide that bridges theory and practice is necessary. Data Analytics and AI for Quantitative Risk Assessment and Financial Computation is an all-encompassing reference for finance professionals, risk managers, data scientists, and students seeking to leverage the transformative power of AI and data analytics in finance. The book encapsulates this integration's theoretical underpinnings, practical applications, challenges, and future directions, empowering readers to enhance their analytical capabilities, make informed decisions, and stay ahead in the competitive financial landscape."-- Provided by publisher. Also available in print. Mode of access: World Wide Web. Description based on title screen (IGI Global, viewed 12/09/2024). Artificial intelligence. Evolutionary computation. Financial engineering. Quantitative research. Risk assessment. AI Ethics and Bias in Financial Models. Algorithmic Trading and High-Frequency Trading (HFT) Artificial Intelligence and Beyond. Big Data Technologies in Finance. Blockchain and Cryptocurrencies Risk Assessment. Credit Risk Modeling and Assessment. Derivative Pricing. Fundamentals of Data Analytics and AI. Liquidity Risk Measurement and Management. Machine Learning Algorithms for Financial Modeling. Market Risk Analysis and Value at Risk (VaR) Models. Natural Language Processing (NLP) in Financial Analysis. Operational Risk Management. Portfolio Optimization and Asset Allocation. Probability Theory and Statistical Analysis for Risk Assessment. Electronic books. Claver, Jimbo Henri editor. Galety, Mohammad Gouse 1976- editor. Natarajan, Arul Kumar editor. Sriharsha, A. V. editor. Vajjhala, Narasimha Rao editor. IGI Global, publisher. Print version: 9798369362150 Advances in computational intelligence and robotics (ACIR) book series. |
spellingShingle | Data analytics and AI for quantitative risk assessment and financial computation Advances in computational intelligence and robotics (ACIR) book series. 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. Comparing the 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. Artificial intelligence. Evolutionary computation. Financial engineering. Quantitative research. Risk assessment. |
title | Data analytics and AI for quantitative risk assessment and financial computation |
title_alt | Data analytics and artificial intelligence for quantitative risk assessment and financial computation |
title_auth | Data analytics and AI for quantitative risk assessment and financial computation |
title_exact_search | Data analytics and AI for quantitative risk assessment and financial computation |
title_full | 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. |
title_fullStr | 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. |
title_full_unstemmed | 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. |
title_short | Data analytics and AI for quantitative risk assessment and financial computation |
title_sort | data analytics and ai for quantitative risk assessment and financial computation |
topic | Artificial intelligence. Evolutionary computation. Financial engineering. Quantitative research. Risk assessment. |
topic_facet | Artificial intelligence. Evolutionary computation. Financial engineering. Quantitative research. Risk assessment. Electronic books. |
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