1.
An Empirical Analysis of Reinsurance Business Risk Distribution;
再保险业务风险分布特征的实证分析
2.
The Distribution of Social Risks and the Anti-risk Mechanism in China during the Transformation Period;
中国转型期的社会风险分布与抗风险机制
3.
Study of the Risk Distribution of Venture-Capital Investing in High and New Science & Technology Projects;
高新科技项目风险投资的风险分布研究
4.
Risk Distribution and Risk Control Management in Urban Rail Transit Investment Projects;
轨道交通投资项目的风险分布与风险控制
5.
Moral Hazard Model of Risk Management for Virtual Enterprises Based on Distributed Decision-Making
虚拟企业风险管理的分布式道德风险模型
6.
The Study on Distributed Invasive Pest Risk Analysis WebGIS;
分布式外来有害生物风险分析WebGIS研制
7.
The Distribution Approach of Banks Operational Risk Measurement Based on Stable Distribution;
基于稳定分布的银行操作风险度量损失分布法
8.
The Extreme Value Distribution for Levy Process of Classical Risk Model;
古典风险模型中列维过程的极值分布
9.
A EXTREME VALUE DISTRIBUTION ON A RENEWAL RISK MODEL WITH INTEREST FORCE;
带息力更新风险模型的一个极值分布
10.
Scaled t-Distribution、Leverage Effect and the VaRs of the CISSE;
Scaledt分布、杠杆效应和上证综指的VaR风险
11.
Returns Distribution in Financial Markets and EVT Risk Measures;
金融市场的收益分布与EVT风险测度
12.
GPD Model as a Risk Management Tool;
广义帕累托分布模型:风险管理的工具
13.
The Bayesian Procedure of the Minimum Posterior Risk Based on Transversal Normal Distribution;
截尾正态分布的最小后验风险Bayes推断
14.
On a Correlated Two Poisson Risk Model;
具有相关性的Poisson分布风险模型
15.
Credit Risk Management in Fractional Brownian Motion Model
分数次布朗运动模型的信用风险管理
16.
Deficit distribution with the risk model for random premium income
保费随机收取的风险模型赤字的分布
17.
Distribution and Risk Analysis of Dammed Lakes Reduced by Wenchuan Earthquake
汶川地震堰塞湖分布规律与风险评估
18.
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