Big data analytics and investment

被引:1
|
作者
Boubaker, Sabri [1 ,2 ]
Liu, Zhenya [3 ,4 ,5 ,6 ]
Mu, Yuhao [3 ]
机构
[1] EM Normandie Business Sch, Metis Lab, Le Havre, France
[2] Vietnam Natl Univ, Int Sch, Hanoi, Vietnam
[3] Swansea Univ, Swansea, Wales
[4] Renmin Univ China, Sch Finance, Beijing, Peoples R China
[5] Renmin Univ China, China Financial Policy Res Ctr, Beijing, Peoples R China
[6] Renmin Univ China, Sch Finance, 59,Zhongguancun St, Beijing 100872, Peoples R China
关键词
Big data; High stake decision forecasting; IPCA; China's A-shares market; ASSET PRICES; EQUILIBRIUM;
D O I
10.1016/j.techfore.2023.122713
中图分类号
F [经济];
学科分类号
02 ;
摘要
Big data has found extensive applications in various industries, including finance. It is an essential tool for investors to make high-stakes investment decisions. Using China's A-shares Market, this paper employs 76 firm characteristics to conduct descriptive analytics (factor model) and predictive analytics (long-short portfolio) through an Instrumented Principal Component Analysis (IPCA) model. According to our results, the IPCA model outperforms in both description (tangency portfolio Sharpe ratio of 2.91) and forecasting (long-short portfolio Sharpe ratio of 2.38). Moreover, our paper compares the performance of different sets of characteristics in big data analytics and concludes that sentiment is dominant, while fundamental analysis is also important. Our results can provide policymakers with valuable insights into the common trends of the stock market and assist investors in making effective investment decisions.
引用
收藏
页数:15
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