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Artificial Intelligence in Financial Trading Predictive Models and Risk Management Strategies

Shaik Asif BashaMasters in Computer Applications, Alinma Esnad, Senior Business Consultant, Saudi ArabiaAmir ZiaAssistant Professor, Department of Business Tashkent Metropolitan University, Tashkent, UzbekistanB KirankumarAssistant Professor, Department of Information Technology, CVR college of engineering, Hyderabad, Telangana, IndiaChandra Sekhar SAssistant Professor, Department of Management, Brainware University, Kolkata, West Bengal, IndiaS SumithraProfessor, Department of ECE, J.J. College of Engineering and Technology, Tiruchirappalli, Tamil Nadu, IndiaMonisha Jothi RAssistant Professor, Department of CSE, New Prince Shri Bhavani College of Engineering and Technology Chennai, Tamil Nadu, India
ITM Web of Conferencesjournal2025en
ABI

Аннотация

Financial industry is a prime target for Artificial Intelligence (AI) driven solutions, opening up avenues of predictive. Nevertheless, hurdles around model transparency, compatibility with legacy financial systems, and the high bar of computational resources persist as major pieces of resistance. Therefore, this research is focused on establishing new AI-based models to tackle this problem in predictive models, risk management strategies in financial trading domain. Through computational efficiency enhancement, explainable AI methodologies application, along with Path-independent adaptation to diverse asset classes, this model aims to formulate richer, ambient, and inclusive AI environments for the benefit of sustainability. Moreover, the study examines hybrid AI-based models that integrate private and public blockchains to enhance transaction throughput, scalability, and data privacy. The idea is to make financial systems more stable, accessible, and effective while minimizing environmental impact via energy-efficient consensus mechanisms.

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