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Research Paper | Computer Science and Information Technology | India | Volume 13 Issue 12, December 2024 | Rating: 5.2 / 10
Analyze the Impact of Artificial Intelligence on Finance Portfolio Management
Mudasir Ashraf
Abstract: The research investigates the impact of Artificial Intelligence (AI) on portfolio management in the financial sector. AI, through advancements in machine learning, data analytics, and automation, is reshaping traditional investment strategies by enabling more precise risk assessment, real-time decision-making, and enhanced predictive capabilities. This study explores how AI-driven tools optimize portfolio diversification, asset allocation, and performance forecasting, while also addressing challenges such as algorithmic biases, data privacy, and market volatility. Through a comprehensive analysis, the research aims to assess AI?s effectiveness in improving portfolio management outcomes and its implications for the future of financial decision-making.
Keywords: Artificial Intelligence, Portfolio Management, Investment Strategies
Edition: Volume 13 Issue 12, December 2024,
Pages: 897 - 901