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1.
Fixed Return Model and Efficiency Analysis for Merge & Requisition;
不变收益率模型与公司购并绩效分析
2.
Tolerance Smallest Income Changing the Insurance Premium Rate Renewal Risk Model
容忍最小收益下变保费率的更新风险模型
3.
Unbalanced Quote Model Based on Unvaried Expectative Benefit of Contractor;
基于承包商预期收益不变的不平衡报价模型
4.
The Study of the Education Yield of the Rural Areas Based on the Model of Mincer
基于明瑟收益模型的西部农村教育收益率研究
5.
Model for portfolio selection with fuzzy return rates
带有模糊收益率的投资组合选择模型
6.
An Empirical Study on the Non-linear Characteristic of Return of the Shanghai Stock Market Based on Markov Regimes Switching Model;
基于马尔可夫域变模型的上海股市收益率非线性特征分析
7.
On Measuring Volatility of Asset Returns in KMV Model;
KMV模型中资产收益波动率的确定
8.
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
9.
Impact to the Results of ARCH Type Models with Different Distribution of the Residual;
不同分布对ARCH类模型结果的影响——基于上证指数收益率的对比分析
10.
Volatility analysis of return of exchange rate using ARFIMA-EGARCH-M model
ARFIMA-EGARCH-M模型在汇率收益率波动分析中的应用
11.
Return Fluctuation of RMB Exchange Rate Based on Jump-diffusion Process
基于跳-扩散过程的人民币汇率收益率波动模型
12.
Weighted portfolio selection for return rate with fuzzy number
收益率为模糊数的加权证券组合选择模型
13.
Research on structural change of continuous time asset return model;
连续时间资产收益变结构模型的研究
14.
Comprehensive economic benefit model of transformer update considering risk return
计及风险收益的变压器更新综合经济效益模型
15.
The Portfolio Decision Model Based on Minimizing Risk to Return Ratio
单位收益率风险最小的组合证券投资决策模型
16.
Research of the Subjective Model of Returns Distribution Based on the Behavioral Finance Theories;
基于行为金融理论的收益率分布主观模型研究
17.
The Qualitative Analysis of Discrete Mathematical Models on the Rate of Return in Financial Market;
金融市场收益率离散数学模型及其定性分析
18.
Research on the Volatility in Hu-Shen Stock Return by GARCH Model in Different Stages;
基于GARCH模型的沪深两市收益率波动分阶段研究