我公司目前主要以量化系统从事股票的投资与咨询服务。 多维度的参数因子选取,通过机器学习算法验证期因子相关性,用以调整个阶段的策略权重;通过持续的全周期迭代回归测试,实现多维度参数因子的实时更新,保证胜率和盈亏空间的稳定。 通过对外部宏观政策以及消息的分析,生成积极和消极因子系数,调整参数权重,规避黑天鹅等异常风险。
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