Artificial Intelligence and Big Data for Financial Risk Management
Intelligent Applications
This book presents a collection of high-quality contributions on the state-of-the-art in Artificial Intelligence and Big Data analysis as it relates to financial risk management applications. It brings together, in one place, the latest thinking on an emerging topic and includes principles, reviews, examples, and research directions.
mai 2024, env. 234 pages, Banking, Money and International Finance, Anglais
Taylor and Francis
978-0-367-70058-4
Taylor and Francis
978-0-367-70058-4

