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Bank Risk Analyzer

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银行风险分析工具。分析银行资产质量、信用风险、操作风险等关键风险指标。包括不良贷款率、关注类贷款率、拨备覆盖率、逾期贷款率、单一客户集中度等。使用AkShare、Tushare、央行统计数据。适用于银行风控研究、投资决策、监管合规分析。

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  • Added September 7, 2026
developmentpython

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Scanned September 7, 2026

npx -y skills add aifinlab/FinClaw --skill bank-risk-analyzer --agent claude-code

Installs into .claude/skills of the current project.

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SKILL.md
---
name: bank-risk-analyzer
description: 银行风险分析工具。分析银行资产质量、信用风险、操作风险等关键风险指标。包括不良贷款率、关注类贷款率、拨备覆盖率、逾期贷款率、单一客户集中度等。使用AkShare、Tushare、央行统计数据。适用于银行风控研究、投资决策、监管合规分析。
---

# 银行风险分析器

## 功能

- 资产质量分析(不良率、关注率、逾期率)
- 拨备充足性分析
- 集中度风险分析
- 风险抵补能力评估
- 风险预警指标

## 数据源

- AkShare银行风险指标
- Tushare财务数据
- 央行/银保监会监管数据

## 使用方法

```python
from scripts.main import BankRiskAnalyzer
analyzer = BankRiskAnalyzer()
result = analyzer.analyze_risk("招商银行")
```

## 核心指标

| 指标 | 警戒值 | 说明 |
|------|--------|------|
| 不良贷款率 | <2% | 低于2%为优秀 |
| 拨备覆盖率 | >150% | 高于150%充足 |
| 关注类贷款率 | <3% | 关注类占比 |
| 单一客户集中度 | <10% | 大额风险暴露 |

Files in this skill

  • LICENSE46 B
  • SKILL.md1.1 KB
  • requirements.txt29 B
  • scripts/main.py5.5 KB

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