本书的定位是一本Python金融大数据风控建模的入门级读物。全书包括4篇:背景篇旨在由浅入深地读者走进金融科技领域,了解智能风控,系统、全面地认识评分卡;基础篇围绕评分卡构建的全流程,向读者一一讲述每个环节的理论知识,随之进行代码实践,帮助读者获得从0至1构建评分卡模型的工程能力;进阶篇旨在从建模中可能遇到问题出发,提供一些问题解决或模型提升的思路,使建立的评分卡具有更好的业务适应及预测能力;实战篇结合真实信贷场景的数据集,带领读者完成从数据分析至评分卡生成的各个流程,旨在让读者体验真实场景,具备评分卡实战能力,亦可作为读者实际工作中构建评分卡的参考。本书适合有一定Python语言基础的金融风控相关技术人员阅读,也适合想要了解人工智能如何在金融场景应用的开发及业务人员。另外,也适合专业培训机构的学员和相关专业的学生。
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paperback. Condition: New. Paperback. Pub Date: 2020-06-01 Pages: 376 Language: Chinese Publisher: Mechanical Industry Press Python Financial Big Data Risk Control Modeling Practice: Based on Machine Learning is a Python language-based financial big data risk control construction Modal primer.?The book combines the popular machine learning algorithms in the field of artificial intelligence to build a credit scoring card model. so as to solve the most core risk control problem in the financial field.?Python Financial Bi. Seller Inventory # NV032432
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