Terentiev, H.2026-03-052026-03-052026Terentiev, H. Combined method for forecasting the valuable assets price based on financial data / H. Terentiev// Адаптивні системи автоматичного управління : міжвідомчий науково-технічний збірник. – 2026. – № 1 (48). – С. 225-239. – Бібліогр.: 19 назв.https://ela.kpi.ua/handle/123456789/79248This paper presents a combined method for forecasting the value of securities based on financial statistical data. The proposed method allows to increase the accuracy of forecasts in conditions of high volatility of financial markets.eninformationtechnologyprice of valuable assetsforecasting methodaggregationstatistical datanumerical methodsdata smoothingdata aggregationadaptivity based approachCombined method for forecasting the valuable assets price based on financial dataArticleС. 225-239https://doi.org/10.20535/1560-8956.48.2026.351926519.688; 004.89; 004.9