Risk Forecast Model of P2P Network Loan Based on Grey System

被引:0
作者
Xu, Cong [1 ]
Wang, Cheng [1 ]
机构
[1] Hubei Univ Educ, Sch Math & Econ, Wuhan 430205, Hubei, Peoples R China
来源
PROCEEDINGS OF THE 2ND INTERNATIONAL FORUM ON MANAGEMENT, EDUCATION AND INFORMATION TECHNOLOGY APPLICATION (IFMEITA 2017) | 2017年 / 130卷
关键词
Risk forecast; P2P Network Loan; GM (1,1) model; Comprehensive development index;
D O I
暂无
中图分类号
G40 [教育学];
学科分类号
040101 ; 120403 ;
摘要
This paper studied the problem of risk forecast for the P2P network loan, and established a GM (1,1) grey forecasting model to forecast the risk. In this model, the least square method is used for data fitting, and an empirical analysis is given by using the statistical data in three kinds of companies' comprehensive development index from August to December in 2017. The conclusion can be drawn that the higher the comprehensive development index, the more stable the corresponding P2P company, and also the less risk of the company.
引用
收藏
页码:449 / 452
页数:4
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