Most Cited Articles

Open access

ISSN: 2405-9188

Pairwise acquisition prediction with SHAP value interpretation

Short-term bitcoin market prediction via machine learning

The use of predictive analytics in finance

Credit scoring methods: Latest trends and points to consider

CapitalVX: A machine learning model for startup selection and exit prediction

Machine learning portfolio allocation

Machine learning for cryptocurrency market prediction and trading

Audit data analytics, machine learning, and full population testing

The applications of big data in the insurance industry: A bibliometric and systematic review of relevant literature

The great wall of debt: Real estate, political risk, and Chinese local government financing cost

Forecasting multinomial stock returns using machine learning methods

Big data, accounting information, and valuation

Vine copula based dependence modeling in sustainable finance

Deep deterministic portfolio optimization

Topological tail dependence: Evidence from forecasting realized volatility

Persistence in factor-based supervised learning models

Rollover risk and credit spreads in the financial crisis of 2008

Making it into a successful series a funding: An analysis of Crunchbase and LinkedIn data

Portfolio optimization using cellwise robust association measures and clustering methods with application to highly volatile markets

Performance attribution of machine learning methods for stock returns prediction

FinLex: An effective use of word embeddings for financial lexicon generation

Forecasting earnings and returns: A review of recent advancements

A general framework for portfolio construction based on generative models of asset returns

CentralBankRoBERTa: A fine-tuned large language model for central bank communications

Hedging using reinforcement learning: Contextual k-armed bandit versus Q-learning

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