Research on Modelling Novel Internet Finance Pattern under Big Data and Risk-Aware Environment
- DOI
- 10.2991/emim-15.2015.19How to use a DOI?
- Keywords
- Internet Finance; Big Data Analysis; Risk-Aware Environment; Mathematical Modelling.
- Abstract
With the fast and bursting development of finance science and computer technology and in the era of big data and the Internet, Internet companies have adequate advantages of data to step into the financial industry. Data analysis and mining techniques have helped us build more robust and feasible systems ever since. In this paper, we conduct research on modelling novel Internet finance pattern under big data and risk-aware environment. We firstly introduce the principles and concepts of Internet fiancé to act as the prior knowledge. Later, under the big data environment, we learn from static financial data indicators system to dynamic Internet indicators system, mining information related to clients credit qualification. Finally, we make the combination of both the Internet and financing. The result shows the effectiveness of our model. In the future, we plan to conduct research on how to model elements with more prior knowledge and background.
- Copyright
- © 2015, the Authors. Published by Atlantis Press.
- Open Access
- This is an open access article distributed under the CC BY-NC license (http://creativecommons.org/licenses/by-nc/4.0/).
Cite this article
TY - CONF AU - Xiaochong Yu PY - 2015/04 DA - 2015/04 TI - Research on Modelling Novel Internet Finance Pattern under Big Data and Risk-Aware Environment BT - Proceedings of the 2015 International Conference on Education, Management, Information and Medicine PB - Atlantis Press SP - 95 EP - 99 SN - 2352-5428 UR - https://doi.org/10.2991/emim-15.2015.19 DO - 10.2991/emim-15.2015.19 ID - Yu2015/04 ER -