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Portfolio theory: managing big data

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dc.contributor Nualart, Eulàlia
dc.contributor Vives i Santa Eulàlia, Josep, 1963-
dc.creator Maura Rivero, Roberto Rafael
dc.date 2018-05-28T10:36:55Z
dc.date 2018-05-28T10:36:55Z
dc.date 2018-01-19
dc.date.accessioned 2024-12-16T10:26:27Z
dc.date.available 2024-12-16T10:26:27Z
dc.identifier http://hdl.handle.net/2445/122608
dc.identifier.uri http://fima-docencia.ub.edu:8080/xmlui/handle/123456789/21109
dc.description Treballs Finals de Grau de Matemàtiques, Facultat de Matemàtiques, Universitat de Barcelona, Any: 2018, Director: Eulàlia Nualart i Josep Vives i Santa Eulàlia
dc.description [en] Long and extense is the literature of the portfolio theory. The main goal of it is basically deciding which one is the best possible investment given a set of available assets. During the last decades, there has been great improvement in the way of dealing with the problem and some fundamental changes in the hypothesis taken. The main issue that we will discuss here is that, so far, there is a trade off between the accuracy of the model and the computational time complexity. In this work, we will discuss some of those famous models that have appeared during history, its particular application and restrictions nowadays, emphasizing in the computational problems derived when working with big data. After that, we will code some of the models and compare them. Finally, we will propose one new model and will compare it with the previous ones.
dc.format 54 p.
dc.format application/pdf
dc.language eng
dc.rights cc-by-nc-nd (c) Roberto Rafael Maura Rivero, 2018
dc.rights http://creativecommons.org/licenses/by-nc-nd/3.0/es
dc.rights info:eu-repo/semantics/openAccess
dc.source Treballs Finals de Grau (TFG) - Matemàtiques
dc.subject Anàlisi de variància
dc.subject Models matemàtics
dc.subject Dades massives
dc.subject Optimització matemàtica
dc.subject Python (Llenguatge de programació)
dc.subject Treballs de fi de grau
dc.subject Analysis of variance
dc.subject Mathematical models
dc.subject Big data
dc.subject Mathematical optimization
dc.subject Python (Computer program language)
dc.subject Bachelor's theses
dc.title Portfolio theory: managing big data
dc.type info:eu-repo/semantics/bachelorThesis


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