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Updated: Jun 28, 2025

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An R-Based Landscape Validation of a Competing Risk Model
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机器学习在互联网金融风险管理:一个系统的文献审查
Xu Tian1,2,3, ZongYi Tian4, Saleh F A Khatib2
1Science and Technology Finance Key Laboratory of Hebei Province, Hebei Finance University, Baoding, Hebei, China.
PloS one
|April 16, 2024
概括
与传统方法相比,机器学习显著提高了互联网金融风险管理的准确性和效率. 然而,没有一个算法适合所有平台; 量身定制的方法对于最佳的风险减轻至关重要.
科学领域:
- 金融技术 (金融科技)
- 人工智能 (AI) 是一种人工智能.
- 数据科学数据科学数据科学
背景情况:
- 互联网金融带来了方便和风险,促使人工智能被用于风险管理.
- 现有的研究经常在特定的背景下比较算法,缺乏全面的概述.
结论:
- 没有一种通用机器学习算法是所有互联网金融平台的最佳选择.
- 平台必须根据独特的特征和数据定制AI模型和算法.
- 持续开发人工智能并专注于关键评估指标对于减轻互联网金融风险至关重要.
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