Abstract: In quantitative finance, the standard approach involves predicting stock returns to optimize asset allocation, aiming to maximize returns and minimize risks. This predict-then-optimize ...
Abstract: This paper provides a case study methodology for creating a portfolio of large-scale, high-quality, fictitious but realistic (synthetic) power grid models that are created based on the ...
As the year culminates, it's once again time for the ArchDaily team of curators to reflect on the best-performing projects of 2025 and consider what readers were most interested in. Through this ...
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