1.
Explicit solutions for the optimal consumption and portfolio of the hyperbolic absolute risk aversion function family;
双曲型绝对风险厌恶函数的最优消费与投资组合的显示解
2.
Making Calculated Estimation Risk Psychologically Acceptable to HARA-Function Type Investors and Raising its Precision and Stability;
具有双曲绝对风险厌恶函数类投资者的风险度量
3.
Measuring the risk aversion by the semi-parametric ARCH-M model;
基于半参数ARCH-M模型的风险厌恶度量
4.
On Risk Aversion,Disappointment Aversion and Futures Hedging;
风险厌恶、失望厌恶和期货套期保值
5.
Measuring the Risk Aversion Based on Adaptive Functional-Coefficient ARCH-M Model
基于适应性函数系数ARCH-M模型的风险厌恶度量
6.
Supply Chain Combined Contract under Risk-Averse;
风险厌恶情况下供应链联合契约研究
7.
Strategy of supply chain coordination with risk-averse bias;
具有风险厌恶偏好的供应链协作策略
8.
Heterogeneous Preferences on the Basis of Different Relative Risk Aversion and Dynamic Asset Pricing;
基于相异相对风险厌恶系数的异质偏好与动态资产定价
9.
Futures Hedge and Market Equilibrium under Risk Aversion and Disappointment Aversion;
风险厌恶和失望厌恶条件下的期货套期保值与市场均衡
10.
Dynamic Risk Aversion,Stochastic Discount Factor and Asset Pricing;
动态风险厌恶、随机贴现因子与资产定价
11.
Risk Aversion in Two-location Transshipment Decision Making
基于风险厌恶的下游供应链转运问题研究
12.
an inveterate dislike of foreign customs
对外国风俗根深蒂固的厌恶
13.
Electricity Procurement Optimal Decision-Making Model of Power Supply Company Based on Absolute Deviation Risk Measurement
以绝对离差为风险计量指标的购电分配模型
14.
Second, very light partiality as individual to human capital , risk detesting enough little too, the tax rate is passive to economic influence;
二,当个体对人力资本的偏好很小,风险厌恶也足够小时,税率对经济的影响是消极的;
15.
The Application of Generalized Hyperbolic Distributions toRisk Measurement in Chinese Stock Market;
广义双曲线分布模型在我国证券市场风险度量中的应用研究
16.
Analysis of Risk-avoiding Decision-maker Applying Utility Curve
效用曲线对避免风险型决策者的应用分析
17.
Several generalization of double compound poisson distribution risk model
对带干扰双Poisson风险模型破产概率的若干推广
18.
Comparative Study between Mean Absolute Deviation Model and Mean-Variance Portfolio Selection Model;
绝对离差风险测度模型与均值方差模型的比较研究