Research on influencing factors of stock returns based on multiple regression and artificial intelligence model

被引:1
|
作者
Han, Ying [1 ]
机构
[1] Wuchang Shouyi Univ, Coll Econ & Management, Wuhan, Peoples R China
关键词
Multiple regression; artificial intelligence; stock returns; influencing factors; INCOME;
D O I
10.3233/JIFS-189485
中图分类号
TP18 [人工智能理论];
学科分类号
081104 ; 0812 ; 0835 ; 1405 ;
摘要
When choosing stock investment, there are many stock companies, and the stock varieties are also complicated. At present, there are various systems for evaluating stock performance in the market, but there is no uniform standard, so investors often cannot effectively invest in stocks. Simultaneously, stock management companies also have their own characteristics, and there are differences in shareholding structure and internal management structure. Based on this, based on multiple regression models and artificial intelligence models, this paper constructs a stock return influencing factor analysis model to statistically describe the sample data and factor data, and tests the applicability of the five-factor model for performance evaluation of mixed stocks. In addition, this article combines the actual situation to carry out data simulation analysis and uses a five-factor analysis model to carry out quantitative research on stock returns. Through data simulation analysis, we can see that the model constructed in this paper has a certain effect in the analysis of factors affecting stock returns.
引用
收藏
页码:6457 / 6467
页数:11
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