Risk management method of financial product and related device
A financial product and risk management technology, applied in the computer field, can solve the problems of incompleteness, inconsistency, and low information efficiency, and achieve the effect of improving accuracy, improving efficiency, and unifying judgment standards
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[0057] The embodiment of the present application provides a risk management method for financial products and related devices, which can be applied to systems or programs that include risk management functions of financial products in terminal equipment. Through real-time monitoring of the acquisition process of financial product data, financial The product data includes at least one of product information or management information; then, in response to the triggering of the acquisition process, the financial product data is compared with the early warning rules to obtain early warning results, and the early warning rules are based on at least one of the product information or management information Dimensions are set; then a corresponding risk response is generated based on the early warning results, and the risk response is used to indicate risk avoidance operations for financial product data. In order to realize the intelligent risk management process for financial products,...
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