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首页> 外文期刊>International journal of uncertainty, fuzziness and knowledge-based systems >Why the Use of Convex Combinations Works Well for Interval Data: A Theoretical Explanation
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Why the Use of Convex Combinations Works Well for Interval Data: A Theoretical Explanation

机译:为什么使用Convex组合适用于间隔数据:理论解释

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摘要

One of the main objectives of econometrics is to predict future values of important economics-related quantities, such as unemployment level, stock prices, currency exchange rates, etc. - and especially to predict how different possible economy-boosting measures will affect these quantities. To perform this prediction, we design a model of such effect and train it on the available data. Usually, the daily (or weekly) data are used for this training. However, economics-related quantities fluctuate all the time. So, for each moment of time (e.g., for each day) instead of a single value of the corresponding quantity, we have smallest and largest daily values - i.e., the interval range of daily values. At first glance, it may seem that using both endpoints of this interval for training will lead to more accurate predictions, but in reality, predictions become less accurate. Predictions become more accurate if we only use midpoints of the corresponding intervals. Several recent papers showed that even more accurate predictions are possible if we allow general convex combinations of the intervals' endpoints - and select the corresponding coefficients so as to best fit the data. In this paper, we provide a theoretical explanation for these results.
机译:经济学的主要目标之一是预测重要的经济学相关数量的未来价值,如失业水平,股票价格,货币汇率等 - 尤其是预测不同的经济性促进措施会影响这些数量。为了执行此预测,我们设计了这种效果的模型并将其培训到可用数据上。通常,每日(或每周)数据用于此培训。然而,经济学相关数量一直在波动。因此,对于每次时间(例如,每天)而不是相应数量的单个值,我们具有最小和最大的每日值 - 即日期值的间隔范围。乍一看,似乎使用这种间隔的两点训练将导致更准确的预测,但实际上,预测变得不太准确。如果我们只使用相应的间隔的中点,预测变得更加准确。几个近几篇论文表明,如果我们允许间隔端点的一般凸组合,并且选择相应的系数,则可以更准确的预测是可能的,以便最适合数据。在本文中,我们为这些结果提供了理论解释。

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