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1.
Analysis on the application of the risk-treated in the risk strategy of construction;
风险态度在建设项目风险决策中的应用
2.
E-V Utility Function and it′s Application in the Shanghai Securities Market;
E-V效用函数及沪市风险态度度量
3.
Opportunism based on variable attitudes toward risks
基于风险态度可变的投机行为研究
4.
The Effects of Risk Attitude and Probability Structure on Preference Reversals;
风险态度、概率结构对偏好反转的影响
5.
On the Risk Attitude Patterns and Strategies Involved in the Internationalization of Firms;
企业的风险态度对国际化决策的影响
6.
On the Experiments on Risk Attitude and Comparative Analysis;
两次风险态度实验研究及其比较分析
7.
Economics analysis on tacit knowledge mainbody of risk attitude;
隐性知识主体风险态度的经济学分析
8.
Asset pricing methods based on risk attitude of investors
基于投资者风险态度的资产定价方法
9.
Contract Choice between Leading Firms and Farming Households--Interpretation Based on Risk and Risk Attitude;
“龙头”企业与农户的合约选择——基于风险和风险态度的解释
10.
Construction of compound risk tendency function and new explanation on risk attitude;
复合型风险倾向函数构造和人们对风险态度的新解释
11.
Experimental Research on the Relation between Risk Attitude and Exchange Rate Bubbles;
风险态度与汇率泡沫相关性的实验经济学研究
12.
On Comparison of the Auction Mechanism s Advantages and Disadvantages Based on the Different Attitudes of Bidders toward Risks;
基于主体风险态度变更的拍卖机制优劣比较
13.
First Move Advantage, Risk Attitude and Expectant Revenue;
论企业竞争中的先动优势、风险态度和预期收益
14.
The equilibrium bidding strategy for the bidders with different attitudes toward risk in the first price sealed auctions;
风险态度与密封招标中的均衡投标策略
15.
One new type of riskmetrics for finance-the State Price Density;
一种新的金融风险度量——状态价格密度
16.
Dynamic VaR Risk Measures Based on EVT-BM-FIGARCH;
基于EVT-BM-FIGARCH的动态VaR风险测度
17.
Study on dynamic risk measurement based on G JR and EVT;
基于GJR模型的EVT动态风险测度研究
18.
Research on Risk Measures Model Based on Dynamic Consistency;
基于时间持续性的动态风险度量模型