ABSTRACT

In this book, we have already outlined the principles and basic types of Internet finance. However, much of Internet finance is still open. There are many undeveloped areas and unanswered questions that deserve thorough discussion. In this chapter, we focus on big data’s utilization in two areas: securities investment and actuarial science. We both share our understanding on these two questions and welcome interested readers to undertake further research that could lead to future breakthroughs.