摘要
在新一轮科技革命和产业变革中,互联网与金融的深入融合和创新发展,将对金融产品、业务、组织和服务等方面产生更加深刻的影响.互联网金融风险日益突出,风险管理日趋重要.面对互联网金融风险管理中存在的市场风险、信用风险和操作风险等,提出加强互联网金融风险管理的策略.
In the new round of technological revolution and the industrial revolution, Internet finance will have a more profound impact on financial products, services, organizations and services. Internet financial risks have be- come increasingly prominent, and risk management is becoming increasingly important. In the face of the market risk, credit risk and operational risk in the Internet financial risk management, we put forward to strengthen the In- ternet financial risk management strategy.
出处
《阴山学刊(自然科学版)》
2017年第3期123-125,共3页
Yinshan Academic Journal(Natural Science Edition)
基金
蚌埠学院人文社科重点项目(2014sk01zd)
关键词
互联网+
互联网金融
风险管理
策略
Internet plus
Intemet finance
Risk management
Strategy