CN107203941A - Risk control system and method - Google Patents
Risk control system and method Download PDFInfo
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- CN107203941A CN107203941A CN201710454334.XA CN201710454334A CN107203941A CN 107203941 A CN107203941 A CN 107203941A CN 201710454334 A CN201710454334 A CN 201710454334A CN 107203941 A CN107203941 A CN 107203941A
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Abstract
Risk control system and method that the present invention is provided, the system risk analysis platform include input block, analytic unit and output unit;Input block carries out data interaction with issue terminal, obtains the financial information of publisher or investment product;Analytic unit is analyzed financial information, obtains the investment risk of publisher or investment product;Output unit is packaged and exported to the investment risk of publisher or investment product;Issue terminal is used for publisher, the financial information of be stored with publisher or investment product;Investment terminal is used for investor, for checking each publisher of risk analysis platform output or the investment risk of investment product, is additionally operable to complete the investment deal between issue terminal.The system can carry out predicting, accurately judging and track for real-time and precise to investment risk, contribute to investor to grasp investment risk situation in time, and make correct investment decision, it is to avoid the investment product default loss that may occur, reduce the risk of investor.
Description
Technical field
The invention belongs to Financial Risk Control technical field, and in particular to risk control system and method.
Background technology
The investor in financial market, especially business bank, securities broker company, insurance institution, Fund Company etc., in finance prison
Pipe and the requirement of risk control, the fund for having considerable scale are used to buy fixed income class product.In order to ensure investment product energy
Bring stable interest income, it is to avoid default loss, investor needs to carry out Risk-warning and tracking prediction to its investment product,
To buy in the investment product of high-quality, and the investment product that there may be risk is sold in time.
The main utilization publisher of the existing investment product Risk-warning or Predicting Technique information related to risk, is such as levied
Letter information, financial data, third party's credit rating report and research report etc. are judged, but these methods or techniques often have
There is hysteresis quality, after publisher occurs in that the risk case of correlation, could be known by investor.Credit rating organization be also
The degradation measure of correlation is just taken after issuer occurrence risk event, and many investment institution are not due to possessing look-ahead wind
The ability or predictive ability of danger are not enough, are often possible to face huge bond default risk.
The content of the invention
For defect of the prior art, the present invention, which is provided, needs offer risk control system and method badly, can be right in advance
Bond risk makes accurately prediction and accurately judgement, reduces the risk of investor.
A kind of risk control system, including risk analysis platform, investment terminal and issue terminal;
The risk analysis platform includes input block, analytic unit and output unit;
The input block carries out data interaction with the issue terminal, obtains the finance letter of publisher or investment product
Breath;
The analytic unit is analyzed the financial information of publisher or investment product, obtains publisher or investment product
Investment risk;
The output unit is packaged and exported to the investment risk of the publisher or investment product;
The issue terminal is used for publisher, the financial information of be stored with publisher or investment product;
The investment terminal is used for investor, each publisher or investment production for checking the output of risk analysis platform
The investment risk of product, is additionally operable to complete the investment deal between issue terminal.
Preferably, the investment terminal is additionally operable to obtain the history investing tip of investor, and according to history investing tip
Analysis obtains the investment demand of the investor, and investment demand is sent into the risk analysis platform;It is additionally operable to display described
Publisher or investment product that risk analysis platform is pushed;
The risk analysis platform also includes push unit, and the push unit receives the investment from investment terminal and needed
When asking, publisher or investment product that search matches with the investment demand, and it is pushed to the investment terminal.
Preferably, the investment demand includes investment risk, investment horizon, investment return and investment amount.
Preferably, the investment terminal is additionally operable to the publisher of real-time investment in monitoring person investment and the investment wind of investment product
Danger;When investment risk is more than default risk threshold value, generation reminder message reminds investor.
Preferably, the risk analysis platform also includes simulation investment unit;Simulation investment unit is whole for each investment
End is experienced and experience gold is provided with account provided with experience account, and the experience gold of different investment terminals is different;
Investment product or publisher of the simulation investment unit for each new issue, are provided with the experience period;Also use
In supplying investment terminal the investment product to the new issue or the investment of publisher are simulated within the experience period.
Preferably, the experience gold of each investment terminal is determined by the history investing tip of the investor;Invest terminal
Experience gold M by below equation calculate obtain:
M=S*T/D;
Wherein, M unit is ten thousand yuan;S is the gross investment amount of money of investor, and unit is ten thousand yuan;When T is the investment of investor
Between, unit is year;D is the sum of the publisher that investor invests or investment product.
Preferably, investment product or publisher of the simulation investment unit for each new issue, are provided with experience
Buy effective time;When investor simulated the investment to investment product or publisher, effective time buying of the investor
Start the time of simulation investment plus experience purchase effective time for investor;
When investing investment product or publisher of the terminal in risk analysis platform purchase new issue, the investment is judged
Whether person simulated the investment to the investment product or publisher;
If simulating the investment to the investment product or publisher, judge whether current time is in having for the investor
Imitate in the time buying, if it is, buying successfully;If it is not, purchase failure;
If not simulating the investment to the investment product or publisher, buy successfully.
Preferably, the experience purchase effective time is more than the investment product or the investment time of publisher.
A kind of risk control method, applied to above-mentioned risk control system, including:
Obtain the financial information of publisher or investment product;
Financial information to publisher or investment product is analyzed, and obtains the investment risk of publisher or investment product;
Investment risk to the publisher or investment product is packaged, and is sent to the investment terminal;
The investment risk of each publisher or investment product is checked by the investment terminal;
Complete the investment deal between investment terminal and issue terminal.
Preferably, in addition to:
Investment product or publisher for each new issue, when being provided with experience period and effective experience purchase
Between;
When detecting when carrying out simulation investment request to the investment product of new issue or publisher of investment terminal initiation, sentence
It is disconnected current whether within the experience period;
If within the experience period, simulation investment success records current time, when defining effective purchase of investor
Between for current time plus experience purchase effective time;
If be not in the experience period, simulation investment failure;
When the purchase request of the investment product or publisher that detect investment terminal initiation purchase new issue, the throwing is judged
Whether money person simulated the investment to the investment product or publisher;
If simulating the investment to the investment product or publisher, judge whether current time is in having for the investor
Imitate in the time buying, if it is, buying successfully;If it is not, purchase failure;
If not simulating the investment to the investment product or publisher, buy successfully.
As shown from the above technical solution, the present invention is provided risk control system and method, can be carried out to investment risk
Predicting, accurately judging and track for real-time and precise, contributes to investor to grasp investment risk situation in time, and make correct
Investment decision, it is to avoid the investment product default loss that may occur, reduces the risk of investor.
Brief description of the drawings
, below will be to specific in order to illustrate more clearly of the specific embodiment of the invention or technical scheme of the prior art
The accompanying drawing used required in embodiment or description of the prior art is briefly described.In all of the figs, similar element
Or part is general by similar reference mark.In accompanying drawing, each element or part might not be drawn according to actual ratio.
Fig. 1 is the structured flowchart of risk control system.
Fig. 2 is the flow chart of risk control method.
Fig. 3 is the flow chart of simulation investment in risk control method.
Embodiment
The embodiment of technical solution of the present invention is described in detail below in conjunction with accompanying drawing.Following examples are only used for
Clearly illustrate technical scheme, therefore be only used as example, and the protection model of the present invention can not be limited with this
Enclose.It should be noted that unless otherwise indicated, technical term or scientific terminology used in this application are should be belonging to the present invention
The ordinary meaning that art personnel are understood.
Embodiment:
A kind of risk control system, as shown in figure 1, including risk analysis platform, investment terminal and issue terminal;
The risk analysis platform includes input block, analytic unit and output unit;
The input block carries out data interaction with the issue terminal, obtains the finance letter of publisher or investment product
Breath;
The analytic unit is analyzed the financial information of publisher or investment product, obtains publisher or investment product
Investment risk;
The output unit is packaged and exported to the investment risk of the publisher or investment product;
The issue terminal is used for publisher, the financial information of be stored with publisher or investment product;
The investment terminal is used for investor, each publisher or investment production for checking the output of risk analysis platform
The investment risk of product, is additionally operable to complete the investment deal between issue terminal.
When it is implemented, analytic unit is pre-processed to the financial information of publisher or investment product, such as duplicate removal, with
Machine transplanting of rice benefit etc..And using the modeling of the learning methods such as logistic regression, decision tree, random forest, SVMs.Again to the mould of foundation
Type, which is optimized, obtains optimal models, and the financial information of publisher or investment product is predicted using optimal models, obtained
Publisher or the investment risk of investment product;The operation principle of the system is by big data analytical technology and machine learning calculation
Method, by publisher or the financial information of investment product, search out can optimal models so that realize investment risk identification and
Early warning.The system can carry out predicting, accurately judging and track for real-time and precise to investment risk, contribute to investor timely
Investment risk situation is grasped, and makes correct investment decision, it is to avoid the investment product default loss that may occur, reduction investment
The risk of people.
The investment terminal is additionally operable to obtain the history investing tip of investor, and is obtained according to the analysis of history investing tip
The investment demand of the investor, and investment demand is sent to the risk analysis platform;It is additionally operable to show the risk analysis
Publisher or investment product that platform is pushed;
The risk analysis platform also includes push unit, and the push unit receives the investment from investment terminal and needed
When asking, publisher or investment product that search matches with the investment demand, and it is pushed to the investment terminal.
When it is implemented, the risk control system of the present embodiment analyzes investor's according to the history investing tip of investor
Investment demand, and actively push the investment product matched with the investment demand or publisher to investor.The investment demand bag
Include investment risk, investment horizon, investment return and investment amount.What such as investor invested in the past is the investment product broken even,
When then pushing, the low investment product of investor's risk is pushed to.What addition investor invested in the past is the high investment product of income,
When then pushing, the high investment product of investor's income is pushed to.So improve the accuracy of product push.Investor can select
Select and whether enable push function, purchase can also be chosen whether according to the investment product of push.
The investment terminal is additionally operable to the publisher of real-time investment in monitoring person investment and the investment risk of investment product;Work as throwing
When providing risk more than default risk threshold value, generation reminder message reminds investor.The system is voluntarily set by investor and thrown
The risk threshold value of assets product, if investment risk is more than default risk threshold value, illustrates that the publisher and investment product are present
Risk is, it is necessary to remind investor to note.
In order to further reduce investment risk, the system, which also increases, simulation investment function.The risk analysis platform is also
Including simulation investment unit;Simulation investment unit is provided with experience account, experience account for each investment terminal and is provided with body
Gold is tested, the experience gold of different investment terminals is different;
Investment product or publisher of the simulation investment unit for each new issue, are provided with the experience period;Also use
In supplying investment terminal the investment product to the new issue or the investment of publisher are simulated within the experience period.
Investor can carry out simulation investment according to self-demand to the investment product newly issued or publisher, i.e., using void
Intend currency (experience gold) to experience down the investment of the new product, help investor to determine the need for buying the product, reduction is thrown
The risk of money person.When new investment product is issued, simulation investment could be carried out only within a period of time just issued, for example just
Simulation investment can be carried out in 3 months of issue, product under customer experience is allowed, the experience period is unsuitable oversize.
The experience gold of each investment terminal is determined by the history investing tip of the investor;Invest the experience gold of terminal
M is calculated by below equation and obtained:
M=S*T/D;
Wherein, M unit is ten thousand yuan;S is the gross investment amount of money of investor, and unit is ten thousand yuan;When T is the investment of investor
Between, unit is year;D is the sum of the publisher that investor invests or investment product.
Experience gold determines that the single investment product investment amount of investor is higher according to the history investing tip of investor, throws
The money time is longer, the experience Jin Yueduo of acquisition.The experience sense of client can so be improved.By experiencing the income of gold acquisition or losing
Damage is not exchanged into cash, only does ideal money and uses.When investor carries out simulation investment to multiple products, each simulation investment
Income and loss accumulation to experience gold in.
Investment product or publisher of the simulation investment unit for each new issue, are provided with experience purchase effective
Time;When investor simulated the investment to investment product or publisher, effective time buying of the investor is investor
Start the time of simulation investment plus experience purchase effective time;
When investing investment product or publisher of the terminal in risk analysis platform purchase new issue, the investment is judged
Whether person simulated the investment to the investment product or publisher;
If simulating the investment to the investment product or publisher, judge whether current time is in having for the investor
Imitate in the time buying, if it is, buying successfully;If it is not, purchase failure;
If not simulating the investment to the investment product or publisher, buy successfully.
Investor is carried out after simulation investment, and effective time buying that can only be after the completion of investment could buy the product, keep away
Exempt from investor and at will experience investment product.Ordinary circumstance experience purchase effective time is true according to the investment time of investment product
Fixed, the investment time of specific investment product many 1-3 months so ensure that investor participates in the investment of complete investment product
Cheng Hou, can just decide whether purchase.If investor was not engaged in simulation investment, it can directly buy, not bought effectively
Time restriction.The experience purchase effective time is more than the investment product or the investment time of publisher.
Risk control method, as shown in Fig. 2 run on above-mentioned risk control system, including:
Obtain the financial information of publisher or investment product;
Financial information to publisher or investment product is analyzed, and obtains the investment risk of publisher or investment product;
Investment risk to the publisher or investment product is packaged, and is sent to the investment terminal;
The investment risk of each publisher or investment product is checked by the investment terminal;
Complete the investment deal between investment terminal and issue terminal.
As shown in figure 3, also including:
Investment product or publisher for each new issue, when being provided with experience period and effective experience purchase
Between;
When detecting when carrying out simulation investment request to the investment product of new issue or publisher of investment terminal initiation, sentence
It is disconnected current whether within the experience period;
If within the experience period, simulation investment success records current time, when defining effective purchase of investor
Between for current time plus experience purchase effective time;
If be not in the experience period, simulation investment failure;
When the purchase request of the investment product or publisher that detect investment terminal initiation purchase new issue, the throwing is judged
Whether money person simulated the investment to the investment product or publisher;
If simulating the investment to the investment product or publisher, judge whether current time is in having for the investor
Imitate in the time buying, if it is, buying successfully;If it is not, purchase failure;
If not simulating the investment to the investment product or publisher, buy successfully.
When there is following two situations in investor, it is allowed to buy product:1st, the simulation for being not engaged in investment product is thrown
Money.2nd, the simulation investment of investment product, and the completion purchase within effective time buying be take part in.When investor has situations below
When, do not allow to buy product:Take part in the simulation investment of investment product, when purchased between exceed effective time buying.
Finally it should be noted that:Various embodiments above is merely illustrative of the technical solution of the present invention, rather than its limitations;To the greatest extent
The present invention is described in detail with reference to foregoing embodiments for pipe, it will be understood by those within the art that:Its according to
The technical scheme described in foregoing embodiments can so be modified, or which part or all technical characteristic are entered
Row equivalent substitution;And these modifications or replacement, the essence of appropriate technical solution is departed from various embodiments of the present invention technology
The scope of scheme, it all should cover among the claim of the present invention and the scope of specification.
Claims (10)
1. a kind of risk control system, it is characterised in that including risk analysis platform, investment terminal and issue terminal;
The risk analysis platform includes input block, analytic unit and output unit;
The input block carries out data interaction with the issue terminal, obtains the financial information of publisher or investment product;
The analytic unit is analyzed the financial information of publisher or investment product, obtains the throwing of publisher or investment product
Provide risk;
The output unit is packaged and exported to the investment risk of the publisher or investment product;
The issue terminal is used for publisher, the financial information of be stored with publisher or investment product;
The investment terminal is used for investor, each publisher or investment product for checking the output of risk analysis platform
Investment risk, is additionally operable to complete the investment deal between issue terminal.
2. risk control system according to claim 1, it is characterised in that
The investment terminal is additionally operable to obtain the history investing tip of investor, and obtains the throwing according to the analysis of history investing tip
The investment demand of money person, and investment demand is sent to the risk analysis platform;It is additionally operable to show the risk analysis platform
The publisher of push or investment product;
The risk analysis platform also includes push unit, and the push unit receives the investment demand from investment terminal
When, publisher or investment product that search matches with the investment demand, and it is pushed to the investment terminal.
3. risk control system according to claim 2, it is characterised in that
The investment demand includes investment risk, investment horizon, investment return and investment amount.
4. risk control system according to claim 1, it is characterised in that
The investment terminal is additionally operable to the publisher of real-time investment in monitoring person investment and the investment risk of investment product;When investment wind
When danger is more than default risk threshold value, generation reminder message reminds investor.
5. risk control system according to claim 1, it is characterised in that
The risk analysis platform also includes simulation investment unit;Simulation investment unit is for each investment terminal provided with experience account
Experience gold is provided with family, experience account, the experience gold of different investment terminals is different;
Investment product or publisher of the simulation investment unit for each new issue, are provided with the experience period;It is additionally operable to supply
Investment terminal simulates the investment product to the new issue or the investment of publisher within the experience period.
6. risk control system according to claim 5, it is characterised in that the experience gold of each investment terminal is by the throwing
The history investing tip for providing people is determined;The experience gold M for investing terminal is obtained by below equation calculating:
M=S*T/D;
Wherein, M unit is ten thousand yuan;S is the gross investment amount of money of investor, and unit is ten thousand yuan;T is the investment time of investor,
Unit is year;D is the sum of the publisher that investor invests or investment product.
7. risk control system according to claim 5, it is characterised in that
The simulation investment unit for each new issue investment product or publisher, be provided with experience purchase it is effective when
Between;When investor simulated the investment to investment product or publisher, effective time buying of the investor opens for investor
The time of beginning simulation investment is plus experience purchase effective time;
When investing investment product or publisher of the terminal in risk analysis platform purchase new issue, judge that the investor is
The no investment simulated to the investment product or publisher;
If simulating the investment to the investment product or publisher, judge whether current time is in effective purchase of the investor
Buy in the time, if it is, buying successfully;If it is not, purchase failure;
If not simulating the investment to the investment product or publisher, buy successfully.
8. risk control system according to claim 7, it is characterised in that
The experience purchase effective time is more than the investment product or the investment time of publisher.
9. a kind of risk control method, it is characterised in that applied to risk control system described in claim 1, including:
Obtain the financial information of publisher or investment product;
Financial information to publisher or investment product is analyzed, and obtains the investment risk of publisher or investment product;
Investment risk to the publisher or investment product is packaged, and is sent to the investment terminal;
The investment risk of each publisher or investment product is checked by the investment terminal;
Complete the investment deal between investment terminal and issue terminal.
10. risk control method according to claim 9, it is characterised in that also include:
Investment product or publisher for each new issue, are provided with experience period and experience purchase effective time;
When detecting when carrying out simulation investment request to the investment product of new issue or publisher of investment terminal initiation, judge to work as
It is preceding whether to be in the experience period;
If in experience the period in, simulation investment success, record current time, define investor effective time buying be
Current time is plus experience purchase effective time;
If be not in the experience period, simulation investment failure;
When the purchase request of the investment product or publisher that detect investment terminal initiation purchase new issue, the investor is judged
Whether investment to the investment product or publisher was simulated;
If simulating the investment to the investment product or publisher, judge whether current time is in effective purchase of the investor
Buy in the time, if it is, buying successfully;If it is not, purchase failure;
If not simulating the investment to the investment product or publisher, buy successfully.
Priority Applications (1)
Application Number | Priority Date | Filing Date | Title |
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CN201710454334.XA CN107203941A (en) | 2017-06-09 | 2017-06-09 | Risk control system and method |
Applications Claiming Priority (1)
Application Number | Priority Date | Filing Date | Title |
---|---|---|---|
CN201710454334.XA CN107203941A (en) | 2017-06-09 | 2017-06-09 | Risk control system and method |
Publications (1)
Publication Number | Publication Date |
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CN107203941A true CN107203941A (en) | 2017-09-26 |
Family
ID=59907426
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CN201710454334.XA Pending CN107203941A (en) | 2017-06-09 | 2017-06-09 | Risk control system and method |
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Cited By (4)
Publication number | Priority date | Publication date | Assignee | Title |
---|---|---|---|---|
CN108805719A (en) * | 2018-06-05 | 2018-11-13 | 上海豪沃金融信息服务有限公司 | A kind of risk control system of finance and money management product |
CN108985931A (en) * | 2018-06-15 | 2018-12-11 | 王理平 | A kind of risk control method of commerce and system |
CN109359819A (en) * | 2018-09-21 | 2019-02-19 | 深圳市小牛在线互联网信息咨询有限公司 | Network loaning bill risk disclosure method, apparatus, computer equipment and storage medium |
CN113781234A (en) * | 2021-08-25 | 2021-12-10 | 刘天翠 | Asset investment information analysis and processing platform based on big data |
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CN102236870A (en) * | 2010-04-26 | 2011-11-09 | 上海无花果信息科技有限公司 | Control method of quantified multiple-factor investment portfolio for obtaining stable payback |
CN102956019A (en) * | 2011-08-17 | 2013-03-06 | 杨裴生 | System for realizing financial instrument and tool synthesis effect |
CN103544649A (en) * | 2013-10-17 | 2014-01-29 | 常熟市华安电子工程有限公司 | Stock client side |
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CN1271445A (en) * | 1997-07-25 | 2000-10-25 | 导向选择股份有限公司 | System for providing investment advice and management of pension assets |
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CN102236870A (en) * | 2010-04-26 | 2011-11-09 | 上海无花果信息科技有限公司 | Control method of quantified multiple-factor investment portfolio for obtaining stable payback |
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CN108805719A (en) * | 2018-06-05 | 2018-11-13 | 上海豪沃金融信息服务有限公司 | A kind of risk control system of finance and money management product |
CN108985931A (en) * | 2018-06-15 | 2018-12-11 | 王理平 | A kind of risk control method of commerce and system |
CN109359819A (en) * | 2018-09-21 | 2019-02-19 | 深圳市小牛在线互联网信息咨询有限公司 | Network loaning bill risk disclosure method, apparatus, computer equipment and storage medium |
CN113781234A (en) * | 2021-08-25 | 2021-12-10 | 刘天翠 | Asset investment information analysis and processing platform based on big data |
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Application publication date: 20170926 |
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