1.
Study on the Ascertainment Method of the Coefficientof Optimization Investment Proportion
最优投资比例系数的确定方法研究
2.
A Study on the Optimum Investment Proportion of Insurance Funds in China
我国保险资金最优投资比例问题研究
3.
The Mathematical Model and Analysis on A Case for the Portfolio Optimization;
最优投资组合的数学模型与案例分析
4.
vestment of the Best Combination under the Interest Rate“R_0”
在利润率R_0下的最佳组合证券投资比例系数的计算方法
5.
On Optimal Proportion of Investment in Real Estate s Stage Development;
房地产分期开发最优投资比例问题研究
6.
Optimal Strategy of Consumption and Investment with Transaction Costs Charged;
成比例交易费用下的投资消费最优策略
7.
Definition of optimal proportion of phased investment:Real options approach;
阶段性投资最优比例问题的实物期权方法
8.
The Optimal Strategy of Consumption and Investment with Proportinal Transaction Costs and Multiple Risky Assets;
多资产下组成比例交易费用的投资消费最优策略
9.
Property of Difference Coefficient σ/μ for Optimal Portfolio and Its Dete rmination
最优投资组合差异系数σ/μ的性质与确定方法
10.
Optimal Portfolio Selection on the Basis of Difference Coefficient σ/μ
基于差异系数σ/μ的最优投资组合方法
11.
The Optimal Portfolio Policy Based on the Stochastic Volatility;
基于随机市场系数模型的最优投资组合策略
12.
A Method on Optimal Proportional Reinsurance by Portfolio Theory;
用组合投资理论确定最优比例再保险的一个方法
13.
Optimal Investment and Proportional Reinsurance for Jump-Diffusion Risk Processes:Expected Value Principle
跳扩散风险过程的最优投资和比例再保险:期望值保费原理(英文)
14.
On the Option Value Multiple of Investment Under Uncertainty and The Optimal Investment Rule;
投资项目的期权价值乘数与最优投资规则
15.
Optimal portfolio in fractional Brownian motion environment;
分数布朗运动环境下的最优投资组合
16.
Mean-variance portfolio selection with random parameters:a martingale approach;
随机市场系数的M-V最优投资组合选择:一个鞅方法
17.
Application of Optimal Portfolio Selection Based on the Difference Coefficient σ/μ in Life Insurer s Investment;
基于差异系数σ/μ的人寿保险公司最优投资组合方法
18.
Study on the Optimum Decision of “PowerSystem Calamity Prevention and Cure Invest”;
电力系统灾害防治投资最优决策探讨