1.
Small and Medium-Sized Investors s Stock Investment Mentality Risk Adjustment Model;
中小投资者股票投资心态调整风险控制模型
2.
Dimension-reduced Strategy of Real Estate Portfolio Investment Model;
房地产组合投资风险控制模型的降维策略
3.
Redemption risk controlling model of open-end funds based on BSDE
基于BSDE的开放式基金赎回风险控制模型
4.
A Decision-Making Analog-model for Controlling Risks in a Portfolio;
组合投资风险控制决策模拟模型研究
5.
A Model Analysis of Moral Hazard and the Allocation of Control Rights in the Venture Capital Backed Companies;
风险企业的道德风险与控制权配置的模型分析
6.
Measuring models for risk defender capability of commercial bank;
国有商业银行风险控制能力测度模型
7.
A Control Strategy for Macro-econmic Model under Financial Risk;
金融风险下宏观经济模型的控制策略
8.
The Excellent Scale of Local Public Bonds Circulation Based on the Control of Risk;
基于风险控制的地方公债发行规模模型研究
9.
Optimal Model of Loans Portfolio Based on CVaR Risk Measurement and VaR Control
基于CVaR风险度量和VaR风险控制的贷款组合优化模型
10.
Research on the Models of Risk Planning and Process Control of Software Project;
软件项目风险计划与过程控制模型研究
11.
Research on Implicit Pension Debt Actuarial Model of China and Its Control of Risk;
中国养老金债务精算模型及其风险控制研究
12.
On My Government the Formation of the Audit Risk Model, Model Construction and Control Mechanisms;
试论我国政府审计风险的形成、模型构建及控制
13.
A Study on Evaluation Model and Mitigation System for IT Outsourcing Risk of Enterprise;
企业IT外包风险评价模型与控制策略研究
14.
The Study on the Model and Case of Risk Sharing and Controlling for Project Financing;
项目融资风险分担、控制模型及其实证分析
15.
Credit risk,control power and staged financing mode of family business;
信用风险、控制权与家族企业分阶段融资模型
16.
The Transmission Model of Controlled Quality Risks in Construction Projects;
建筑项目质量风险传递模型与控制研究
17.
Optimum Design Model of Equipment Supply Chain Network Based on Risk Control;
基于风险控制的装备供应链网络设计模型
18.
An Empirical Research on the Strategy Structure Model of Operational Risk Management about Commercial Banking in China;
中国商业银行操作风险控制战略结构模型研究