At present, foreign theoretical research on the analysis, evaluation and control of financial risks has basically formed a relatively mature knowledge system, from the concept, the causes of financial risks, identification, to the prevention and control of financial risks. At the same time, through the analysis method of combining theory with practice, we have a detailed understanding of possible factors causing financial risks. In the identification and evaluation of financial risks, we mainly analyze them by modeling related methods, and focus on controlling and preventing various financial risks from the main sources, covering
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