1.
Empirical Research on the Risk and Return of Mini-medium Enterprises Stock;
中小企业股票风险与收益的实证研究
2.
The Application of VaR Model to Estimating Stock Risk;
VaR模型及其在股票风险评估中的应用
3.
Risk Management Research of Stocks Based on VaR Model
VaR模型在股票风险管理中的应用研究
4.
Accounting Fraud,Transfer of Control Right and Change of Stock Risk
会计舞弊、控制权转移和股票风险变化
5.
Stock risk is divided into decision-making risk& management risk.
股票筹资风险可分为决策性风险和经营性风险。
6.
The SD Simulation on Investing Single Stock Risks of Chinese Investor;
中国股票投资者个股投资风险SD模拟
7.
The Forex or Stocks trading is a risky business.
外汇和股票交易本身蕴含巨大的风险。
8.
Risks of stock collateral loan for commercial banks and its countermeasures
商业银行股票质押贷款的风险及防范
9.
security rating
股票,证券的信用风险评级
10.
Only a rich man can afford to gamble in stocks and bonds.
只有有钱人才冒得起股票投机的风险。
11.
The Empirical Analysis on Risk of Stock Market of Agriculture Listed Companies;
农业上市公司股票市场风险实证研究
12.
Research on Volatility and Risk Management of Chinese Stock Market;
中国股票市场的波动性及其风险防范
13.
The Risk Research in China Stock Market 1995-2003;
中国股票市场风险特征实证研究1995-2003
14.
The Comparative Analysis of Investment Risks Under the Best Portfolio;
最佳组合下的股票投资风险比较分析
15.
Measurement of Risk of Shanghai’s Stock Market;
VaR法在股票市场风险测量中的应用
16.
A Study of Liquidity Risk Premium in Chinese Stock Markets;
我国股票市场的流动性风险溢价研究
17.
The Selcction of Stock Options for Venture Firms;
风险企业股票期权类型选择机制研究
18.
The Comparison of the Credit Risk of the Exchange Market between the Inland and Hongkong;
内地与香港股票市场信用风险的比较