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1.
Dynamic Financial Volatility Model Based on Non-normal Distribution
基于非正态分布的动态金融波动性模型研究
2.
Fractal Market Theoryand Persistence in Financial Volatility;
分形市场理论与金融波动持续性研究
3.
Nonlinear Financial Volatility Models and Their Empirical Research
非线性金融波动率模型及其实证研究
4.
Study on Memory, Persistence and Fractal Properties in Financial Market Volatility;
金融市场波动记忆性、持续性与分形研究
5.
The Analysis of the Volatility and Relevance of Chinese Stock Index and American Stock Index under the Financial Crisis
金融危机下中美股指波动性和相关性分析
6.
Financial Volatility Model Based on Moments of Time Series;
基于时间序列矩属性的金融波动模型研究
7.
The Empirical Study on Asymmetric Volatility in Stock Exchange Based on Behavioral Finance;
基于行为金融的股市波动非对称性实证研究
8.
Research on asymmetric volatility in stock-market based on behavioral finance;
基于行为金融的中国股市波动非对称性研究
9.
The Relativity of the Shock of Finance and the Business Cycle :from Three Aspect;
金融冲击与经济波动的相关性:三个视角的分析
10.
The Research on Financial Volatility with Sentiment Analysis
倾向性分析用于金融市场波动率的研究
11.
Study on the Wavelet and Frequency Domain Methods of Financial Volatility Analysis;
金融波动分析的小波和频域方法研究
12.
Research of International Financial Market Volatility Spillover Effect under Financial Crisis
金融危机下国际金融市场间波动溢出效应研究
13.
To Study on the Time-Varying Character and Fluctuating Persistence of Higher Moments for the Time Ordering of Banking;
金融时间序列高阶矩的时变性与波动持续性研究
14.
NONLINEAR ANALYSIS OF FINANCIAL SYSTEMS:EXPLORING THE NONLINEAR IMPACT OF THE TRADING VOLUME ON THE PRICE VOLATILITY
金融系统的非线性分析:交易量对股价波动的非线性影响
15.
CAN it only be a year ago that volatility was so low in the financial markets?
金融市场能否回到一年之前波动性特别低的时候?
16.
The Dynamic Development of Policy Banking Under the Background of Economic Growth and Structural Adjustment: A Case of Ningbo City;
经济发展与结构调整中政策性金融的动态变迁:宁波案例
17.
The Comparative Study Between the CARR Model and the GARCH Race Models on the Volatility of the Financial Market
金融市场波动性CARR类模型与GARCH类模型的比较研究
18.
Financial Volatility Models and Their Application in Chinese Stock Markets;
金融波动模型及其在中国股市的应用