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High Risk Management Model For The Power Enterprise Based on Rough Set Theory

机译:基于粗糙集理论的电力企业高风险管理模式

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The traditional risk management model cant process historical data efficiently, this paper proposed a high-risk customer management model based on rough set theory to solve this problem. In this paper we briefly analyze the characteristics and application of rough set, and then give a method to reduce the irrelevant indicators before generating rules. This method is based on the advantages of rough set in processing large scale data. The model combines risk management theory in engineering and rough set theory in a very good way to process the historical data. Finally this paper gives an experiment to illustrate how to establish and apply the proposed model.
机译:传统风险管理模型无法有效地处理历史数据,本文提出了一种基于粗糙集理论的高风险客户管理模型来解决这个问题。在本文中,我们简要介绍了粗糙集的特点和应用,然后在产生规则之前给出一种减少无关指标的方法。该方法基于加工大规模数据中粗糙集的优点。该模型将风险管理理论与工程和粗糙集理论中的一种处理历史数据的良好方法相结合。最后,本文提供了一个实验,说明如何建立和应用所提出的模型。

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