Artificial Intelligence and Big Data for Financial Risk Management - AZ
- Chapter 10: Using Computer Blockchain Technology to Analyze the Development Trend of China's Modern Financial Industry
- Chapter 11: Financial Efficiency Differentiation Based on Data Quantitative Analysis under Big Data Technology
- Chapter 12: Optimization algorithms for multiple-asset portfolios with machine learning techniques
- Chapter 6: Operation Analysis of Financial Sharing Center Based On Big Data Sharing Technology
- Chapter 1: Grey model as a tool in dynamic portfolio selection
- Chapter 7: Optimization algorithms for multiple-asset portfolios with machine learning techniques
- Chapter 4: Deep Learning in Detecting Financial Statement Fraud
- Chapter 2: Predicting Financial Statement Fraud using Artificial Neural Networks
- Chapter 9: The role of blockchain in financial applications
- Chapter 3: Bank Network Credit Model and Risk Management System Based on Big Data Technology
- Chapter 5: Predicting Stock Return Risk and Volatility Using Neural Network
- Chapter 8: Random Forest and Grey Methodology in Dynamic Portfolio Selection
- Chapter 13: An Overview of Neural Network in Financial Risk Management