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1.
Extremal Dependence between Return Risk and Liquidity Risk:An Analysis for the Shanghai Stock Market;
上海股票市场流动性风险与市场风险的极值相关分析
2.
The Research on Liquidity Risk Measurement in Stock Market;
股票市场流动性风险度量方法及其实证研究
3.
A Liquidity-Risk Research into China Stock Market Based on BDSS Model;
基于BDSS模型的我国股票市场流动性风险研究
4.
The Empirical Research on Features of Liquidity Risk of Stock Market in China
中国股票市场流动性风险特征的实证研究
5.
Application of La-VaR Model in the Liquidity Risk Measurement of China's Stock Market
La-VaR模型在我国股票市场流动性风险度量中的应用
6.
A Study of Liquidity Risk Premium in Chinese Stock Markets;
我国股票市场的流动性风险溢价研究
7.
Liquidity Risk and Its Premium in Chinese Stock Markets;
中国股票市场的流动性风险及其溢价效应研究
8.
The Systematic Liquidity Risk and Premium of Shanghai Stock Exchange;
上海股票市场系统流动性风险溢价研究
9.
Research on Endogenous Liquidity Risk Management in China Stock Market
中国股票市场内生流动性风险管理研究
10.
Research on Volatility and Risk Management of Chinese Stock Market;
中国股票市场的波动性及其风险防范
11.
The Liquidity Explanation of the Mechanic Form of the Stock Price and Market;
股票价格与股市风险形成机理的流动性解释
12.
Relation of Liquidity Adjusted Value at Risk Among Main Domestic and Overseas Stock Markets
中外主要股票市场流动性调整的风险价值关系研究
13.
Measuring of Stock Intraday Liquidity and its Risk Adjusting;
股票日内流动性度量及其风险调整——基于上海股票市场高频数据的实证研究
14.
The Volatility of Stock Market and the Implement Research of the Risk of Stock Mortgage;
股票市场的波动性与股票质押贷款风险评估研究
15.
The Application of Liquidity Risk Theory to the Study of the Transitional Trading Market for State-owned Shares;
流动性风险理论对国有股过渡流通市场的研究
16.
On the pertinence relation among the risky factors in the equity market of China;
中国股票市场风险因素的相关性研究
17.
Risk Measurement and Its Volatility Research Based on CAViaR Method in Chinese Stock Market;
基于CAViaR方法的我国股票市场风险度量及波动性研究
18.
Econometric Study on Volatility of Stock Market, Dynamic Transmission and Risk Mechanism;
股票市场波动性、传导机制与风险机制的计量研究