Financial Risk Monitoring Analysis Based on Integrated SVM Data Stream Classification Algorithm

Author:

Yao Chunyun

Publisher

Springer Nature Singapore

Reference10 articles.

1. Kavassalis P, Stieber H, Breymann W et al (2018) An innovative RegTech approach to financial risk monitoring and supervisory reporting. J Risk Financ 1:19–23

2. Rampini AA, Viswanathan S et al (2020) Risk management in financial institutions. J Financ 591–637

3. Candian G, Dmitriev et al (2020) Risk aversion, uninsurable idiosyncratic risk, and the financial accelerator. Rev Econ Dyn 299–322

4. Dominika B, Sujata M, Abirami K et al (2022) Identifying priorities for research on financial risk protection to achieve universal health coverage: a scoping overview of reviews. BMJ Open 3:12–16

5. Adelusi EA, Anifowose OL (2022) Assessment of financial risk and its impact on an informal finance institutions profitability. Can Soc Sci 1:18–20

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