Brmversity: Financial Markets


Workshop on machine learning and AI in portfolio management and financial analytics. This will be an introduction into the use of machine learning and AI techniques in predictive analytics for portfolio management and capital markets. We will talk about modern computational finance and demonstrate the use of various machine learning and AI algorithms in analysis of financial markets. We will learn some useful machine learning techniques, about problems in computational finance and what are the needs of portfolio managers. The goal is to either improve the existing system or to adapt it to a different domain (set of problems).

This event is part of Brmversity courses. See [1], [2], [3], [4], [5], [6] for study materials.


  • none required




If you going to edit this section, see References Database for more information.

[2] ^ Zivot, E., 2013. Introduction to Computational Finance and Financial Econometrics. Coursera/University of Washington.
[3] ^ Haugh, M.; Iyengar, G.; Derman, E., 2013. Financial Engineering and Risk Management. Coursera/Columbia University.
[4] ^ Balch, T., 2013. Computational Investing, Part I. Coursera/Georgia Tech.
[5] ^ Russell, R., 2007. Technical Analysis. W & A Publishing.


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