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Research on Financial Risk Prediction and Prevention Countermeasures Based on Big Data

机译:基于大数据的金融风险预测和预防对策研究

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In this era of "data is king", continuous strengthening of networking and digitization makes big data and finance increasingly integrated, and big data has become the core asset of finance. Financial management is inherently risk management. It is of great significance to study how to use big data to better predict and prevent financial risks. In this paper, it firstly introduces the concept and characteristics of big data. Then it discusses the financial risks in the big data environment, combines the success cases of big data in financial risk prevention and control, and analyzes the advantages of using big data for financial risk prediction and prevention. Finally it summarizes specific and effective prediction systems for financial risks and countermeasures.
机译:在“数据是王者”的这一时代,联网和数字化的持续加强使得大数据和资金越来越集成,大数据已成为金融的核心资产。财务管理本质上是风险管理。研究如何利用大数据来更好地预测和防止金融风险是具有重要意义。在本文中,首先介绍了大数据的概念和特征。然后它讨论了大数据环境中的财务风险,将大数据的成功案例结合在财务风险预防和控制中,分析了使用大数据进行金融风险预测和预防的优势。最后,它总结了用于金融风险和对策的具体和有效的预测系统。

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