Fraud Detection And Risk Management In Internet Finance

Fraud Detection And Risk Management In Internet Finance book cover

Fraud Detection And Risk Management In Internet Finance

Author(s): Hualing Liu (Author), Qingqing Ren (Author)

  • Publisher Finelybook 出版社: WSPC
  • Publication Date 出版日期: June 11, 2026
  • Language 语言: English
  • Print length 页数: 270 pages
  • ISBN-10: 9819818451
  • ISBN-13: 9789819818457

Book Description

This book focuses on the development of an anti-fraud model designed to detect both individual and group fraud in the internet finance sector. It further proposes a comprehensive risk control system tailored for online credit platforms, aiming to enhance the industry’s overall risk management capabilities. Centered around two core themes: credit scoring and fraud detection, the book utilizes advanced algorithms including machine learning, deep learning, and graphical models to study patterns of financial fraud online. Unlike traditional research that mainly depends on financial and operational data, which is often delayed or manipulated, this monograph leverages abundant, real-time user evaluation data from internet finance platforms. By constructing a specialized Internet finance dictionary, it identifies key evaluation themes and emotional trends, laying the foundation for a platform public opinion monitoring and early warning system to enable timely detection of high-risk platforms. Each internet finance platform is treated as a research node, contributing to the creation of an interconnected internet finance platform network. Through network analysis, complex network theory, and public opinion text mining, the book develops both correlation and measurement models. These models explore how information dissemination influences investment and lending behaviors, investigate the relationship between cross-platform information propagation and platform risk, and analyze the dynamics of risk contagion across platforms. Finally, the book proposes actionable risk mitigation strategies to address the cumulative risks observed in the industry. It offers practical insights and policy guidance for regulators and stakeholders seeking to prevent and resolve Internet financial risks.

Editorial Reviews

Editorial Reviews

About the Author

Qingqing Renis an experienced finance professional at Goldman Sachs in New York, USA, with a focus on residential credit and structured finance. She earned an MS in Management Science and Engineering from Columbia University and a BS in Finance from Peking University, where she graduated as an Honoured Graduate of the Guanghua School of Management. Beyond her thriving career in the finance industry, Qingqing is deeply passionate about the intersection of financial technology and data science. This passion extends into her academic pursuits, where she explores data-driven solutions to enhance risk management capabilities in the finance sector. Her primary research interests include machine learning, online consumer credit, and financial fraud detection. Qingqing has made significant contributions to multiple academic papers exploring the application of machine learning and deep learning algorithms in credit risk assessment and fraud detection within the Internet finance space. Qingqing’s dedication to both professional and academic endeavors underscores her commitment to driving excellence in the dynamic landscape of finance.

Hualing Liuis a professor at the Shanghai University of International Business and Economics and Faculty Director of the Business Big Data Experiment Center. Professor Liu is a member of the Smart Business Professional Committee of the China Information Economic Society, a director of the Shanghai Association for Social Application Big Data, and the director of the Shanghai Municipal Experimental Teaching Demonstration Center for Business Big Data. Her primary research interests lie in knowledge management, data-driven decision making, and quantitative economics. Her recent research focuses on applications of management science and data mining in privacy protection and risk management within Internet finance. Professor Liu earned her PhD in Management Science and Engineering from Donghua University and her BS in Applied Mathematics from Chongqing University. She has published over 50 papers in prestigious national and international journals and conferences, more than 20 of which are indexed in EI Compendex. In addition to academic articles, she has authored three academic monographs and holds one software patent along with six software copyrights. Her work has received multiple nominations and awards, including one of her monographs being named among the “Top Influential Books in 2021” in the 2021 China Publishing Media Business Report, which highlighted 20 economic books. In addition to her research achievements, Professor Liu is a dedicated educator with nearly four decades of teaching experience and serves as an advisor for master’s students.

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