大数据时代下的金融风险管理与控制
摘 要
本文针对大数据时代下的金融风险管理问题展开研究。首先从理论基础入手,介绍了金融风险的概念分类、风险评估理论方法以及大数据技术在金融风险管理中的应用。接着分析了大数据对金融风险管理的影响,以及大数据时代下金融风险管理面临的问题和领域现状。在提出问题的基础上,本文构建了基于大数据技术的风险管理策略,包括金融监管模式的创新与完善,以及金融风险管理人才的培养与建设。最后,本文以相关政策分析、实践应用情况分析和推广和应用前景分析三个方面来探讨金融风险管理策略的应用和推广。本文对金融风险管理相关领域提供了一定的参考和帮助,对未来金融风险管理的实践应用具有一定的参考价值。
关键词:金融风险管理、大数据、风险管理策略
Abstract
This paper focuses on financial risk management in the era of big data. Starting from the theoretical basis, this paper introduces the concept classification of financial risk, the theoretical methods of risk assessment and the application of big data technology in financial risk management. Then it analyzes the impact of big data on financial risk management, as well as the problems and current situation of financial risk management in the era of big data. On the basis of the questions raised, this paper constructs a risk management strategy based on big data technology, including the innovation and improvement of financial supervision mode, as well as the training and construction of financial risk management personnel. Finally, this paper discusses the application and promotion of financial risk management strategy from three aspects: related policy analysis, practical application situation analysis and application prospect analysis. This paper provides some reference and help to the related fields of financial risk management and has certain reference value to the practical application of financial risk management in the future.
Keyword: Financial risk management、Big data、Risk management strategy
目 录
引言 1
1理论基础 1
1.1 金融风险概念与分类 1
1.2 金融风险评估理论和方法 2
1.3 大数据技术在金融风险管理中的应用 3
2 大数据时代下金融风险管理问题分析 3
2.1 大数据对金融风险管理的影响分析 3
2.2 大数据时代下金融风险管理面临的问题 4
2.3 金融风险管理领域问题的现状分析 4
3大数据时代下的金融风险管理策略 5
3.1 基于大数据技术的风险管理策略 5
3.2 金融监管模式的创新与完善 5
3.3 金融风险管理人才的培养与建设 6
4金融风险管理策略的应用和推广 6
4.1 相关政策分析 7
4.2 实践应用情况分析 7
4.3 推广和应用前景分析 7
结语 8
参考文献 10
致谢 11