Financial risk intelligent analysis method and system based on big data
A technology of risk intelligence and analysis method, applied in the field of financial analysis, which can solve the problems of monotonous analysis method, inaccurate financial risk analysis, and monotonous collection method, so as to ensure diversity, improve the ability of calculation and analysis, and reduce labor burden. Effect
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[0023] In order to make the object, technical solution and advantages of the present invention clearer, the present invention will be further described in detail below in conjunction with the accompanying drawings and embodiments. It should be understood that the specific embodiments described here are only used to explain the present invention, not to limit the present invention.
[0024] refer to Figure 1-4, a financial risk intelligent analysis method and system based on big data, including a processor module 1, a big data collection module 2, a risk analysis module 3, a data output module 4, a receiving terminal 5, a data display terminal module 6, and a client log collection module 7. Power supply module 8, log collection module 9, browser page collection module 10, security detection module 11, AI analysis module 12, manual analysis module 13, financial statement analysis module 14, asset management efficiency analysis module 15, cash flow analysis module 16. Sales and...
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