Empirical study on effect of earning announcement;
收益公布效应的实证研究
The Research on the Return Distribution, Volatility Characteristics and Risk Measurement of Stock Market;
股票市场收益分布、波动特征与风险度量研究
A research on return distribution of participating insurance in China
我国分红险收益分布研究
This paper is about the study of tail-related risk on Shanghai and Shenzhen A stock Market return distribution applying jump diffusion model and extreme value method.
本文运用跳跃扩散模型和极值理论方法对沪深股指收益分布特征进行了研究。
Discussion on Jurisprudential Basis of Compensation on Levy for Public Interest
公益征收补偿法理基础探讨
Return Distributions in Chinese Stock Market and Their SPA Test;
中国股票市场的收益分布及其SPA检验
Returns Distribution in Financial Markets and EVT Risk Measures;
金融市场的收益分布与EVT风险测度
Empirical study on distributions of stock index returns in China s securities market;
中国证券市场股指收益分布的实证分析
The Research on the Return Distribution, Volatility Characteristics and Risk Measurement of Stock Market;
股票市场收益分布、波动特征与风险度量研究
An Empirical Study on the Yield Curve and the Distribution of the Yield of Chinese Treasury Securities;
中国国债收益率曲线与收益率分布的实证研究
Statistical analysis of yield-distribution of Shenzhen and Shanghai stock market;
深沪股市收益率分布特征的统计分析
Distribution and Time Series Analysis of the Returns of Shanghai and Shenzhen Composite Indices;
沪深股市股价收益的分布与时序分析
The GDP Model and A Study of Stock Price Returns Using Extremal Measure;
GDP分布模型与股票收益率的极值分析
A Comparison between the Subjective Distribution and the Familiar Distributions of Returns in Fitness;
收益率主观分布与常用分布的拟合能力比较
The mixed Gumbel distribution of stock returns;
股票收益率的混合Gumbel分布研究
Empirical Investigation of Distribution Feature of Return in China Stock Market;
中国股市收益率分布特征的实证研究
The curve of stock market yield in China;
中国股票市场收益率分布曲线的实证
Risk Measure Method Expect Return under Heavy-Tail Distribution
重尾分布下的期望收益风险度量方法
An Investigation of IPO Underwriters Stabilization Based on Analysis of Return Distribution;
基于收益率分布分析的IPO承销商托市行为研究
The Project s Investment Risk Return Theory Model on F-Distribution;
基于F-分布的项目投资风险分析收益理论模型
On the Distribution Tail Feature of China s Stock Market;
我国股票市场收益率序列分布尾部特征分析
Statistical Properties of Probability Distributions of Returns in Chinese Stock Markets;
我国股市收益概率分布的统计特性分析
A Portfolio Selection Model within the Framework of Fractal Distribution of Capital Returns;
收益率分形分布下的一种组合投资模型
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