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Large-Scale Portfolio Optimization Problem Under Cardinality Constraint With Enhanced Multi-Objective Evolutionary Algorithms

2026-07-10 · arXiv: 2607.09566

One-line summary

An AI research paper on Large-Scale Portfolio Optimization Problem Under Cardinality Constraint With Enhanced Multi-Objective Evolutionary Algorithms.

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Chinese explanation / 中文解读

中文解读待补充:本站会优先为大语言模型、生成式AI、ChatGPT相关技术、计算机视觉、深度学习等高价值论文补充中文说明。

Original abstract

Decision-making is posing an increasingly formidable challenge to investors because of the growing number of alternatives available in financial markets. A hot area of research over the past few decades has been portfolio optimization that seeks to determine how much an investor should invest in which asset. Introducing real-world conditions to the optimization model turns the problem into an NP-hard one for whose solution exact methods become inefficient; hence, researchers have turned to evolutionary algorithms to approximate solutions. In this paper, strengthening strategies are presented for multi-objective evolutionary algorithms that can provide a faster convergence rate and extensive search ability in the portfolio optimization problem under the cardinality constraint. To implement those features, a unique solution representation, a novel operator, and new repair mechanisms are introduced for solving the aforementioned problem in which lower and upper limits are set on the number of assets in the portfolio. For this purpose, new mating strategies along with the aforesaid package are implemented in well-known multi-objective evolutionary algorithms to solve the problem. The customized algorithms are subsequently tested against traditional ones using well-known market indices as benchmarks. Results indicate that the proposed strategy not only provides better approximations but also converges faster as well at no loss of performance with an increasing number of assets in the market.

5.0Engineering value
7.0Research novelty
4.0Business relevance

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