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The management of financial portfolios or funds constitutes a
widely known problematic in financial markets which normally
requires a rigorous analysis in order to select the most profitable
assets. This subject is becoming popular among computer scientists
which try to adapt known Intelligent Computation techniques to the
market's domain. This book proposes a potential system based on
Genetic Algorithms, which aims to manage a financial portfolio by
using technical analysis indicators. The results are promising
since the approach clearly outperforms the remaining approaches
during the recent market crash.
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