Title

Applying Artificial Intelligence to Financial Investing

Document Type

Contribution to Book

Publication Date

2018

Publication Title

Encyclopedia of Information Science and Technology

DOI

10.4018/978-1-5225-2255-3.ch001

ISBN

9781522522560

Abstract

Artificial intelligence techniques have long been applied to financial investing scenarios to determine market inefficiencies, criteria for credit scoring, and bankruptcy prediction, to name a few. While there are many subfields to artificial intelligence this work seeks to identify the most commonly applied AI techniques to financial investing as appears in academic literature. AI techniques, such as knowledge-based, machine learning, and natural language processing, are integrated into systems that simultaneously address data identification, asset valuation, and risk management. Future trends will continue to integrate hybrid artificial intelligence techniques into financial investing, portfolio optimization, and risk management. The remainder of this article summarizes key contributions of applying AI to financial investing as appears in the academic literature.

Share

COinS