Abstract
Introduction: This paper introduces a deep learning approach based on Convolutional Neural Networks (CNN), Bidirectional Long Short-Term Memory Networks (BiLSTM), and attention mechanism for stock market prediction and investment decision making in financial management. These methods leverage the advantages of deep learning to capture complex patterns and dependencies in financial time series data. Stock market prediction and investment decision-making have always been important issues in financial management.Methods: Traditional statistical models often struggle to handle nonlinear relationships and complex temporal dependencies, thus necessitating the use of deep learning methods to improve prediction accuracy and decision effectiveness. This paper adopts a hybrid deep learning model incorporating CNN, BiLSTM, and attention mechanism. CNN can extract meaningful features from historical price or trading volume data, while BiLSTM can capture dependencies between past and future sequences. The attention mechanism allows the model to focus on the most relevant parts of the data. These methods are integrated to create a comprehensive stock market prediction model. We validate the effectiveness of the proposed methods through experiments on real stock market data. Compared to traditional models, the deep learning model utilizing CNN, BiLSTM, and attention mechanism demonstrates superior performance in stock market prediction and investment decision-making.Results and Discussion: Through ablation experiments on the dataset, our deep learning model achieves the best performance across all metrics. For example, the Mean Absolute Error (MAE) is 15.20, the Mean Absolute Percentage Error (MAPE) is 4.12%, the Root Mean Square Error (RMSE) is 2.13, and the Mean Squared Error (MSE) is 4.56. This indicates that these methods can predict stock market trends and price fluctuations more accurately, providing financial managers with more reliable decision guidance. This research holds significant implications for the field of financial management. It offers investors and financial institutions an innovative approach to better understand and predict stock market behavior, enabling them to make wiser investment decisions.
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