The financial big-data solution provides references for investment transactions by analyzing prices, trading volume, information volume, news and social-media sentiment, and correlated events through a unique financial analysis model, thus maximizing the return on investment. The solution assists in predicting stock prices as well as industry, market and global economic-development trends. It provides credit-rating agencies with analysis of information monitoring throughout the network, integrated stock prices, trading volume, sentiment and the impact of correlated events, all of which serve to enhance credit-rating methods. The solution can be combined with a listed company's own data to improve the model's accuracy. It can reveal negative information in a timely manner to help maintain the company and brand reputation.
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