Education, Science, Technology, Innovation and Life
Open Access
Sign In

Research on Risk Management and Risk Prevention Measures of Internet Financial

Download as PDF

DOI: 10.23977/ferm.2023.061008 | Downloads: 187 | Views: 698

Author(s)

Ma Ersai 1

Affiliation(s)

1 Zhejiang Tongji Vocational College of Science and Technology, Hangzhou, Zhejiang, 311231, China

Corresponding Author

Ma Ersai

ABSTRACT

This article introduces the importance and principles of risk management in Internet finance, and analyzes the classification and characteristics of risks in Internet finance. In addition, the article proposes measures to prevent Internet finance risks, including compliance management, risk assessment and monitoring systems, internal control and risk management frameworks, as well as customer education and risk awareness cultivation. Finally, the article explores the future trends of risk management in Internet finance, discusses the impact of technological innovation on Internet finance risk management, as well as emerging risks and corresponding strategies. Through comprehensive discussions on risk management in Internet finance, this article aims to provide guidance for relevant practitioners to strengthen their risk management capabilities and enhance the security and stability of Internet finance.

KEYWORDS

Internet, Financial Risk Management, Risk Prevention

CITE THIS PAPER

Ma Ersai, Research on Risk Management and Risk Prevention Measures of Internet Financial . Financial Engineering and Risk Management (2023) Vol. 6: 64-69. DOI: http://dx.doi.org/10.23977/ferm.2023.061008.

REFERENCES

[1] Holt T J, Smirnova O, Chua Y T, et al. Examining the risk reduction strategies of actors in online criminal markets [J]. Global Crime, 2015, 16(2): 81-103.
[2] Zhong Y, Li Y, Ding J, et al. Risk management: Exploring emerging Human Resource issues during the COVID-19 pandemic [J]. Journal of Risk and Financial Management, 2021, 14(5): 228.
[3] Ke Q, Haasnoot M, Hoogvliet M. Exploring adaptation pathways in terms of flood risk management at a city scale–a case study for Shanghai city [C]// E3S Web of Conferences. EDP Sciences, 2016, 7: 21002.
[4] Qi M, Gu Y, Wang Q. Internet financial risk management and control based on improved rough set algorithm [J]. Journal of Computational and Applied Mathematics, 2021, 384: 113179.
[5] Sornette D, Maillart T, Kröger W. Exploring the limits of safety analysis in complex technological systems [J]. International Journal of Disaster Risk Reduction, 2013, 6: 59-66.

Downloads: 16856
Visits: 343499

All published work is licensed under a Creative Commons Attribution 4.0 International License.

Copyright © 2016 - 2031 Clausius Scientific Press Inc. All Rights Reserved.