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1.
Fractal Dimension of Shenzhen Component Index;
深圳成份股指数收益率序列的分形维
2.
Time Series Prediction of Stock Index Return Rate Based on DBNs Model;
基于动态贝叶斯网模型的股指收益率序列预测
3.
On the Distribution Tail Feature of China s Stock Market;
我国股票市场收益率序列分布尾部特征分析
4.
Dynamic Clustering Analysis of Return Series of Industrial Indexes in Chinese Stock Market;
中国股票市场行业收益率序列动态聚类分析
5.
The Effect of Price Limits on the Autocorrelation of the Stock Returns
涨跌停制度对股票收益率序列相关性的影响
6.
An Empirical Study on Trading Volume and Stock-return Serial Correlation: Evidence from China Stock Market;
股票成交量与收益率序列相关性研究——来自中国股市的实证证据
7.
Local Linear Smoothing Analysis of Shanghai Stock Market Returns Sequence Clustering Feature
上海股市收益率序列簇生特征局部线性平滑分析
8.
Analyze the SSE(Shanghai Stock Exchange) Composite Index Week Returns Ratio with Time Series Analysis Method Based on Markov Switching Model
基于马尔科夫切换模型的上证指数周收益率时间序列分析
9.
Monotone Convergence Theorems for the Integration of Function Sequence with respect to Weak Convergence Probability Measure Sequence
函数序列关于弱收敛概率测度序列积分的单调收敛定理
10.
Monotone Convergence Theorems for the Integration of Function Sequence with Respect to Almost Everywhere Weak Convergence Probability Measure Sequence
函数序列关于几乎处处弱收敛概率测度序列积分的单调收敛定理
11.
the yield to maturity
"到期率,收益率"
12.
The Time Series Analysis of Index Returns in Chinese Stock Market;
中国股票市场指数收益的时间序列分析
13.
The Research of Excess Kurtosis and Asymmetry Characteristics on Portfolio Returns Serial in Stock Market;
股票市场收益序列尖峰和非对称特征研究
14.
A Return Change Model for Competition Strategy Risks;
竞争战略风险的收益序列变动分析模型
15.
Rate of return(or return)on capital
资本收益率(或资本收益)
16.
Convergence in probability of sequences of random vector function;
一类随机向量函数序列的依概率收敛性
17.
Application of the m Sequence In the Bit Error Test of the Trunked Radio Receiver
m序列在数字集群接收机误码率测试中的应用
18.
Yield Equivalence
收益同等利率、收益等价率