29 research outputs found

    Colombian Energy Market: An approach of Anfis and Clustering Techniques to an Optimal Portfolio

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    This paper focuses on the study of a first approach to an optimal portfolio in the Colombian Energy Market using Artificial Intelligence. Specifically, ANFIS and Clustering techniques are applied. The methodology is implemented using the Matlab Toolboxes for clustering and FIS generation. Te results are presented, as well as the analysis of them. A first approximation to an optimal portfolio obtained with this methodology is shown. Consequently, some conclusions of the different techniques available for the same purpose are discussed. Finally the future work is proposed

    Soft Computing Techniques for Stock Market Prediction: A Literature Survey

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    Stock market trading is an unending investment exercise globally. It has potentials to generate high returns on investors’ investment. However, it is characterized by high risk of investment hence, having knowledge and ability to predict stock price or market movement is invaluable to investors in the stock market. Over the years, several soft computing techniques have been used to analyze various stock markets to retrieve knowledge to guide investors on when to buy or sell. This paper surveys over 100 published articles that focus on the application of soft computing techniques to forecast stock markets. The aim of this paper is to present a coherent of information on various soft computing techniques employed for stock market prediction. This research work will enable researchers in this field to know the current trend as well as help to inform their future research efforts. From the surveyed articles, it is evident that researchers have firmly focused on the development of hybrid prediction models and substantial work has also been done on the use of social media data for stock market prediction. It is also revealing that most studies have focused on the prediction of stock prices in emerging market

    ROBUST DECISION SUPPORT SYSTEMS WITH MATRIX FORECASTS AND SHARED LAYER PERCEPTRONS FOR FINANCE AND OTHER APPLICATIONS

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    The recent financial crisis showed the need for more robust decision support systems. In this paper, we introduce a novel type of recurrent artificial neural network, the shared layer perceptron, which allows forecasts that are robust by design. This is achieved by not over-fitting to a specific variable. An entire market is forecast. By training not one, but many networks, we obtain a distribution of outcomes. Further, multi-step forecasts are possible. Our system uses hidden states to model internal dynamics. This allows the network to build a memory and hardens it against external shocks. Using a single shared weight matrix offers the possibility of interpreting system output. An often cited disadvantage of neural networks, the black box character, is not an issue with our approach. We focus on two case studies: determining value at risk and transaction decision support. We also present other applications, including load forecast in electricity networks

    Soft Computing Techniques for Stock Market Prediction: A Literature Survey

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    Stock market trading is an unending investment exercise globally. It has potentials to generate high returns on investors’ investment. However, it is characterized by high risk of investment hence, having knowledge and ability to predict stock price or market movement is invaluable to investors in the stock market. Over the years, several soft computing techniques have been used to analyze various stock markets to retrieve knowledge to guide investors on when to buy or sell. This paper surveys over 100 published articles that focus on the application of soft computing techniques to forecast stock markets. The aim of this paper is to present a coherent of information on various soft computing techniques employed for stock market prediction. This research work will enable researchers in this field to know the current trend as well as help to inform their future research efforts. From the surveyed articles, it is evident that researchers have firmly focused on the development of hybrid prediction models and substantial work has also been done on the use of social media data for stock market prediction. It is also revealing that most studies have focused on the prediction of stock prices in emerging market

    Adaptive Evolutionary Neural Networks for Forecasting and Trading without a Data-Snooping Bias

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    In this paper, we present two neural‐network‐based techniques: an adaptive evolutionary multilayer perceptron (aDEMLP) and an adaptive evolutionary wavelet neural network (aDEWNN). The two models are applied to the task of forecasting and trading the SPDR Dow Jones Industrial Average (DIA), the iShares NYSE Composite Index Fund (NYC) and the SPDR S&P 500 (SPY) exchange‐traded funds (ETFs). We benchmark their performance against two traditional MLP and WNN architectures, a smooth transition autoregressive model (STAR), a moving average convergence/divergence model (MACD) and a random walk model. We show that the proposed architectures present superior forecasting and trading performance compared to the benchmarks and are free from the limitations of the traditional neural networks such as the data‐snooping bias and the time‐consuming and biased processes involved in optimizing their parameter

    Advanced neural networks : finance, forecast, and other applications

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    Decarbonization cost of Bangladesh's energy sector: Influence of corruption

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    As a rapidly developing lower-middle income country, Bangladesh has been maintaining a steady growth of +5% in the gross domestic product (GDP) annually since 2004, eventually reaching 7.1% in 2016. The country is targeting to become uppermiddle- income and developed by 2021 and 2041 respectively, which translates to an annual GDP growth rate of 7.58% during this period. The bulk of this growth is expected to come from the manufacturing sector, the significant shift towards which started at the turn of this century. Energy intensity of manufacturing-based growth is higher, the evidence of which can be seen in the 3.17 times increase in national energy consumption between 2001 and 2014. Also, Bangladesh aims to achieve 100% electrification rate by 2021 against an annual population growth rate of 1.08%. With the increasing per capita income, there is now a growing middle class fuelling the growth in demand for convenient forms of energy. Considering the above drivers, the Bangladesh 2050 Pathways Model suggested 35 times higher energy demand than that of 2010 by 2050. The government and private sector have started a substantial amount of investments in the energy sector to meet the signi ficant future demand. Approximately US104billionwouldbeinvestedinthepowersectorofBangladeshforestablishing33GWinstalledcapacityby2030,themajorityofwhichwouldbefinancedbynationalandinternationalloans.However,Bangladeshisoneofthemostcorruptedcountryintheworldwhichmayinfluencetheenergyplanningdevelopment.ThecurrentpoliciesofBangladeshpowersectorpavedthefuturedirectiontowardspredominantlycoal−basedenergymixwhichwouldaugmentthegreenhousegas(GHG)emissionsfivetimes(117.5MtCO2e)in2030thanthatof2010.ByincreasingGHGemissions,thecountrywouldunderminetheworldwideeffortofkeepingglobaltemperaturerisein21stcenturybelow2°C,aspertheParisagreementandCOP21.VTheobjectiveofthisresearchwastodevelopaframeworktoexplorethecostofdecarbonizingtheBangladeshâ€Čsenergysectorby2050.Forthestudy,sixemissionsscenariosbusinessasusual(BAU),currentpolicy(CPS),high−carbon(HCS),medium−carbon(MCS),low−carbon(LCS)andzero−carbonscenarios(ZCS),andthreeeconomicconditionshigh,averageandlowcostwereconsidered.Thecombinationofemissionsandeconomicscenariosrendered18differentemissionseconomicscenariosfortheresearch.TheresultsshowedthatBangladeshwouldemit343MtCO2eby2050withoutanyemissionsreductionstrategiesunderHCS.However,Bangladeshcanreduce23ofHCSbyadoptingdecarbonizationstrategiessuchasenergymixchangetowardsrenewableandnuclear.Ontheoptimisticside,theemissionscanbereduced73by2050underZCSthanthatofHCS.ThestudydemonstratedthatazerocarbonfutureisnotyetfeasibleforBangladeshby2050becausetheoperationalfossilfuelbasedplantswouldbeoperational.Therefore,theGHGemissionsaregoingtoriseevenifBangladeshadoptsrenewablesandnucleardominatingenergymix.However,itwillbepossibletokeeptheGHGemissionsapproximately2tCO2e/capitathresholdifthecountryadoptsLCS.Ontheotherhand,onlyMCSandLCScanmeettheprojectedenergydemandby2050.TheenergysectorcanmeettheprojecteddemandunderZCSonlyiftheelectricityconsumptionisreduced262050.Intermstotalcost,theMCSwasfoundtobe3.9LCSby2050.LCSwouldhaveahighercostthanthatofMCSupto2030,duetothehighcapitalcostofrenewabletechnologies.ThetotalcostunderLCSwouldstarttobelowerthanofMCSafter2035forthefossilfuelcost.Accumulatedfuelcostwouldreach104 billion would be invested in the power sector of Bangladesh for establishing 33 GW installed capacity by 2030, the majority of which would be financed by national and international loans. However, Bangladesh is one of the most corrupted country in the world which may influence the energy planning development. The current policies of Bangladesh power sector paved the future direction towards predominantly coal-based energy mix which would augment the greenhouse gas (GHG) emissions five times (117.5 MtCO2e) in 2030 than that of 2010. By increasing GHG emissions, the country would undermine the worldwide effort of keeping global temperature rise in 21st century below 2°C, as per the Paris agreement and COP21. V The objective of this research was to develop a framework to explore the cost of decarbonizing the Bangladesh's energy sector by 2050. For the study, six emissions scenarios business as usual (BAU), current policy (CPS), high-carbon (HCS), medium-carbon (MCS), low-carbon (LCS) and zero-carbon scenarios (ZCS), and three economic conditions high, average and low costwere considered. The combination of emissions and economic scenarios rendered 18 different emissionseconomic scenarios for the research. The results showed that Bangladesh would emit 343 MtCO2e by 2050 without any emissions reduction strategies under HCS. However, Bangladesh can reduce 23% GHG emissions by 2050 under LCS than that of HCS by adopting decarbonization strategies such as energy mix change towards renewable and nuclear. On the optimistic side, the emissions can be reduced 73% by 2050 under ZCS than that of HCS. The study demonstrated that a zero carbon future is not yet feasible for Bangladesh by 2050 because the operational fossil fuel based plants would be operational. Therefore, the GHG emissions are going to rise even if Bangladesh adopts renewables and nuclear dominating energy mix. However, it will be possible to keep the GHG emissions approximately 2 tCO2e/capita threshold if the country adopts LCS. On the other hand, only MCS and LCS can meet the projected energy demand by 2050. The energy sector can meet the projected demand under ZCS only if the electricity consumption is reduced 26% by 2050. In terms total cost, the MCS was found to be 3.9% expensive than that of LCS by 2050. LCS would have a higher cost than that of MCS up to 2030, due to the high capital cost of renewable technologies. The total cost under LCS would start to be lower than of MCS after 2035 for the fossil fuel cost. Accumulated fuel cost would reach 250 billion in 2050 under HCS, which can be reduced 23% under ZCS. The cost of decarbonization would be 3.6, 3.4 and 3.2 times under average cost of MCS, LCS, and ZCS, than that of HCS. As the energy sector of Bangladesh is under rapid development, the accumulated capital would be comparatively high by 2050. However, fuel cost can be significantly reduced under LCS and ZCS which would also ensure lower emissions. The study suggested that energy mix change, technological maturity, corruption and demand reduction can influence the cost of decarbonization. However, the most significant influencer for the decarbonization of Bangladeshi energy sector would be the corruption. Results showed that if Bangladesh can minimize the effect of corruption on the energy sector, it can reduce the cost of decarbonization 45-77% by 2050 under MCS, LCS, and ZCS

    Instrumentation and control of anaerobic digestion processes: a review and some research challenges

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    The final publication is available at Springer via http://dx.doi.org/10.1007/s11157-015-9382-6[EN] To enhance energy production from methane or resource recovery from digestate, anaerobic digestion processes require advanced instrumentation and control tools. Over the years, research on these topics has evolved and followed the main fields of application of anaerobic digestion processes: from municipal sewage sludge to liquid mainly industrial then municipal organic fraction of solid waste and agricultural residues. Time constants of the processes have also changed with respect to the treated waste from minutes or hours to weeks or months. Since fast closed loop control is needed for short time constant processes, human operator is now included in the loop when taking decisions to optimize anaerobic digestion plants dealing with complex solid waste over a long retention time. Control objectives have also moved from the regulation of key variables measured online to the prediction of overall process perfor- mance based on global off-line measurements to optimize the feeding of the processes. Additionally, the need for more accurate prediction of methane production and organic matter biodegradation has impacted the complexity of instrumentation and should include a more detailed characterization of the waste (e.g., biochemical fractions like proteins, lipids and carbohydrates)andtheirbioaccessibility andbiodegradability characteristics. However, even if in the literature several methodologies have been developed to determine biodegradability based on organic matter characterization, only a few papers deal with bioaccessibility assessment. 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