Markku Heikkilä

According to our database1, Markku Heikkilä authored at least 12 papers between 2003 and 2021.

Collaborative distances:
  • Dijkstra number2 of four.
  • Erdős number3 of four.

Timeline

Legend:

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PhD thesis 
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Links

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Bibliography

2021
Data-driven optimization of peer-to-peer lending portfolios based on the expected value framework.
Intell. Syst. Account. Finance Manag., 2021

2020
The impact of big data market segmentation using data mining and clustering techniques.
J. Intell. Fuzzy Syst., 2020

A new approach for association rules mining using computational and artificial intelligence.
J. Intell. Fuzzy Syst., 2020

Granular fuzzy pay-off method for real option valuation.
Expert Syst. Appl., 2020

2018
Credit Risk Evaluation in Peer-to-peer Lending With Linguistic Data Transformation and Supervised Learning.
Proceedings of the 51st Hawaii International Conference on System Sciences, 2018

Fuzzy C-Means for Fraud Detection in Large Transaction Data Sets.
Proceedings of the 2018 IEEE International Conference on Fuzzy Systems, 2018

2016
Fuzzy Entropy Used for Predictive Analytics.
Proceedings of the Fuzzy Logic in Its 50th Year, 2016

2015
Predicting Credit Risk in Peer-to-Peer Lending: A Neural Network Approach.
Proceedings of the IEEE Symposium Series on Computational Intelligence, 2015

Fuzzy entropy used for predictive analytics.
Proceedings of the 2015 IEEE International Conference on Fuzzy Systems, 2015

2010
Fuzzy Real Options Models for Closing/Not Closing a Production Plant.
Proceedings of the Production Engineering and Management under Fuzziness, 2010

2007
A fuzzy approach to R&D project portfolio selection.
Int. J. Approx. Reason., 2007

2003
Improving Investment Decision Making by Expanding Key Knowledge with Real Option Tools.
J. Decis. Syst., 2003


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