Logistics, Supply Chain and Financial Predictive Analytics: Theory and Practices (Asset Analytics)
暫譯: 物流、供應鏈與財務預測分析:理論與實務(資產分析)

  • 出版商: Springer
  • 出版日期: 2018-08-16
  • 售價: $7,850
  • 貴賓價: 9.5$7,458
  • 語言: 英文
  • 頁數: 254
  • 裝訂: Hardcover
  • ISBN: 9811308713
  • ISBN-13: 9789811308710
  • 相關分類: 地理資訊系統 GisMachine Learning
  • 海外代購書籍(需單獨結帳)

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商品描述

This book addresses a broad range of problems commonly encountered in the fields of financial analysis, logistics and supply chain management, such as the use of big data analytics in the banking sector. Divided into twenty chapters, some of the contemporary topics discussed in the book are co-operative/non-cooperative supply chain models for imperfect quality items with trade-credit financing; a non-dominated sorting water cycle algorithm for the cardinality constrained portfolio problem; and determining initial, basic and feasible solutions for transportation problems by means of the “supply demand reparation method” and “continuous allocation method.” In addition, the book delves into a comparison study on exponential smoothing and the Arima model for fuel prices; optimal policy for Weibull distributed deteriorating items varying with ramp type demand rate and shortages; an inventory model with shortages and deterioration for three different demand rates; outlier labeling methods for medical data; a garbage disposal plant as a validated model of a fault-tolerant system; and the design of a “least cost ration formulation application for cattle”; a preservation technology model for deteriorating items with advertisement dependent demand and trade credit; a time series model for stock price forecasting in India; and asset pricing using capital market curves.

The book offers a valuable asset for all researchers and industry practitioners working in these areas, giving them a feel for the latest developments and encouraging them to pursue further research in this direction.


商品描述(中文翻譯)

本書探討了金融分析、物流和供應鏈管理領域中常見的各種問題,例如在銀行業中使用大數據分析。全書分為二十章,討論的一些當代主題包括:針對不完美品質項目的合作/非合作供應鏈模型及貿易信貸融資;一種用於基數約束投資組合問題的非支配排序水循環算法;以及通過“供需修復方法”和“持續分配方法”來確定運輸問題的初始、基本和可行解。此外,本書深入探討了指數平滑法與阿里馬(Arima)模型在燃料價格上的比較研究;隨著斜坡型需求率和短缺變化的韋布爾(Weibull)分佈劣化項目的最佳政策;針對三種不同需求率的短缺和劣化的庫存模型;醫療數據的異常值標記方法;作為容錯系統的驗證模型的垃圾處理廠;以及“最低成本配方應用於牛隻”的設計;針對廣告依賴需求和貿易信貸的劣化項目的保存技術模型;印度股價預測的時間序列模型;以及使用資本市場曲線的資產定價。

本書對於所有在這些領域工作的研究人員和行業從業者來說,都是一個寶貴的資產,讓他們了解最新的發展,並鼓勵他們在這個方向上進一步研究。