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Behavioral Trading System - Detecting Crisis, Risk and Stability in Financial Markets

机译:行为交易系统-检测金融市场的危机,风险和稳定性

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The goal of this paper is to create a hybrid system based on a Multi-Agent Architecture that will investigate the evolution of some prediction strategies (Elliott Wave, Lucas, GANN) along with technical, fundamental and macro-economical analysis methods on stock market indexes and how this information influences the stock market behavior in order to improve the profitability on a short or medium time period investment. The proposed system correlates the results from Elliott Wave, GANN and Lucas methods in order to determine a better prediction of the stock price position on the trend and based on this to determine which will be its future direction. The system also finds correlations between the pattern recognition methods and technical and fundamental methods results in order to find the direction of the market trend, to predict the next day price of a stock and to trigger a useful buy/sell signal. In order to validate our model a prototype was developed and applied to the Bucharest Stock Exchange Market indexes.
机译:本文的目的是创建一个基于Multi-Agent Architecture的混合系统,该系统将研究某些预测策略(Elliott Wave,Lucas,GANN)的演变以及股票市场指数的技术,基本面和宏观经济分析方法以及此信息如何影响股票市场行为,以提高短期或中期投资的获利能力。拟议的系统将Elliott Wave,GANN和Lucas方法的结果相关联,以便确定对趋势上股价位置的更好预测,并以此为基础确定未来的方向。系统还找到模式识别方法与技术方法和基本方法结果之间的相关性,以便找到市场趋势的方向,预测股票的第二天价格并触发有用的买/卖信号。为了验证我们的模型,开发了一个原型并将其应用于布加勒斯特证券交易所市场指数。

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