Information and Communications Technology and Policy ›› 2020, Vol. 46 ›› Issue (5): 49-51.
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Abstract: At the present stage, Chinese financial institutions have insufficient understanding of the risks of open source and lack of effective open source management means. This paper investigates and analyzes the status quo of the use of open source in China’s financial industry, sorts out the main open source risks and governance status quo, and puts forward specific suggestions on the development of open source software governance.
Key words: financial industry, open source, governance mode
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