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Data processing method for analysis and production of indicators of sensitivity of person to financial risk, involves calculating indicator vector of risk attitude in real-time by taking into account history of responses of respondents

机译:用于分析和产生人对金融风险敏感性指标的数据处理方法,涉及通过考虑受访者的响应历史实时计算风险态度的指标向量

摘要

The method involves collecting a dataset representative of socio-economic characteristics specific to each of respondents and a set of data representative of a respondent concerned project. An indicator vector of risk attitude is calculated in real-time by taking into account the history of responses of the respondents as well as a combination of the responses of other respondents. The result of the calculation is compared in real-time with a repository determined from the application of the calculation to a portion of responses of the respondents, and parameters are estimated.
机译:该方法涉及收集代表每个受访者的特定社会经济特征的数据集和代表受访者相关项目的一组数据。通过考虑受访者的响应历史以及其他受访者的响应组合,实时计算风险态度的指标向量。将计算结果与通过应用计算确定的一部分响应者的一部分响应进行实时比较,并估算参数。

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