Portfolio-Management-ActorCriticRL
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data problem
1.what is the significance of your choice of these two datasets and why is the DIJA2012 dataset for data from 1990 to 2021 and the DIJA2019 dataset for data from 2008 to 2021? 2.The result images are both for 2008 to 2021, so what is the role of the DIJA2012 data please
The datasets are set so that the stocks have been available throughout the whole range of dates. For example, the stocks from DIJA2019 had been available from 2008 to 2021. Only the DIJA2019 dataset is used in the code and experiments.