Cecconi

AI in the Financial Markets

New Algorithms and Solutions

Springer Nature Switzerland

ISBN 978-3-031-26520-4

Standardpreis


181,89 €

lieferbar ca. 10 Tage als Sonderdruck ohne Rückgaberecht

Preisangaben inkl. MwSt. Abhängig von der Lieferadresse kann die MwSt. an der Kasse variieren. Weitere Informationen

Bibliografische Daten

Fachbuch

Buch. Softcover

2024

5 s/w-Abbildungen, 11 Farbabbildungen, Bibliographien.

In englischer Sprache

Umfang: 148 S.

Format (B x L): 15.5 x 23.5 cm

Gewicht: 236

Verlag: Springer Nature Switzerland

ISBN: 978-3-031-26520-4

Produktbeschreibung

This book is divided into two parts, the first of which describes AI as we know it today, in particular the Fintech-related applications. In turn, the second part explores AI models in financial markets: both regarding applications that are already available (e.g. the blockchain supply chain, learning through big data, understanding natural language, or the valuation of complex bonds) and more futuristic solutions (e.g. models based on artificial agents that interact by buying and selling stocks within simulated worlds).

The effects of the COVID-19 pandemic are starting to show their financial effects: more companies in a liquidity crisis; more unstable debt positions; and more loans from international institutions for states and large companies. At the same time, we are witnessing a growth of AI technologies in all fields, from the production of goods and services, to the management of socio-economic infrastructures: in medicine, communications, education, and security. The question then becomes: could we imagine integrating AI technologies into the financial markets, in order to improve their performance? And not just limited to using AI to improve performance in high-frequency trading or in the study of trends. Could we imagine AI technologies that make financial markets safer, more stable, and more comprehensible? The book explores these questions, pursuing an approach closely linked to real-world applications.

The book is intended for three main categories of readers: (1) management-level employees of companies operating in the financial markets, banks, insurance operators, portfolio managers, brokers, risk assessors, investment managers, and debt managers; (2) policymakers and regulators for financial markets, from government technicians to politicians; and (3) readers curious about technology, both for professional and private purposes, as well as those involved in innovation and research in the private and public spheres.

Autorinnen und Autoren

Kundeninformationen

Explains the links between AI and finance through application examples Shows how technology can make markets safer and more profitable Links the financial dynamics to the dynamics of the COVID-19 pandemic

Produktsicherheit

Derzeit sind keine Informationen zur Produktsicherheit verfügbar. Wir arbeiten daran, diese Informationen in naher Zukunft für Sie bereitzustellen.

Topseller & Empfehlungen für Sie

Ihre zuletzt angesehenen Produkte

Rezensionen

Dieses Set enthält folgende Produkte:
    Auch in folgendem Set erhältlich:

    • Produktempfehlungen personalisieren

      Ihre Vorteile:

      • Empfehlungen basierend auf ihren Interessen
      • Zeitersparnis durch passende Vorschläge

      Mehr informationen zu , , und

      Die ersten personalisierten Empfehlungen erhalten Sie nach zwei bis drei Klicks.

      Sie können diese Zustimmung zu einem späteren Zeitpunkt unproblematisch über die Datenschutz-Einstellungen wieder zurückziehen.

      nach oben

      Ihre Daten werden geladen ...