Advanced Portfolio Management in Big Data Environments With Machine Learning and Advanced Analytical Techniques

izvorni znanstveni rad

izvorni znanstveni rad

Advanced Portfolio Management in Big Data Environments With Machine Learning and Advanced Analytical Techniques

Vrsta prilog u knjizi
Tip izvorni znanstveni rad
Godina 2022
Nadređena publikacija Handbook of Research on New Investigations in Artificial Life, AI, and Machine Learning
Stranice str. 178-192
DOI 10.4018/978-1-7998-8686-0_16
Status objavljeno

Sažetak

Chapter will propose novel approach which combine traditional machine learning approach in churn management and customer satisfaction evaluation which unite traditional machine learning approach and expert based approach which leans on event- based management. Core of the proposed framework is hybrid fuzzy expert system which can contain variety data mining predictive models responsible for some specific areas as addition to traditional rule blocks. It can also include social network analysis metrics based on linguistic variables and incorporated within rule blocks. Chapter will introduce permanent monitoring and self-learning approach-based o mentioned approach with workflow how revealed patterns can be applied for continual portfolio management improvement. Proposed solution unite advanced analytical techniques with decision making process within holistic self-learning framework.

Ključne riječi

Portfolio management, machine learning, big data, analytical techniques