1.
Assets and Tail Risk Allocation by Mean-CVaR Model;
Mean-CVaR模型下的资产组合和破产风险控制
2.
Debt Financing of Privately-Owned Firms: An Empirical Study in China;
控制权、破产风险与我国民营公司负债行为
3.
The Precaution System Against the Risk of Bankruptcy for Insurance Holding Company in China
中国保险控股公司破产风险及其防范
4.
Analysis and Control of the Risk of Cost Estimation in the Blasting Engineering;
爆破工程成本估算风险性分析与控制
5.
Financial Ecology Construction and Credit Risk Control;
金融生态建设与信贷风险控制——一个基于破产金融机构信贷风险的实证分析
6.
Deficit at Ruin on a Class of Markov-Modulated Risk Model with Multiple Insurance
一类具有多险种马氏调制风险模型的破产赤字
7.
Study on the Legal Mechanism about SPV’s Bankrupt-risk Remoteness of Asset-backed Securities
资产证券化中SPV破产风险隔离法律机制探讨
8.
A preliminary research on risk investment and risk control in sports industry in China;
我国体育产业风险投资和风险控制初探
9.
The Probability of Ruin in a kind of Markov-modulated Risk Model
一类马氏调制风险模型的破产概率(英文)
10.
THE PROBABILITY OF RUIN IN THE RISK MODEL PERTURBED BY DIFFUSION WITH THE LIMIT OF RUIN IS VARIATION;
带干扰变破产限风险模型的破产概率
11.
Risk Control Methods for COTS Product Reliability
商用货架产品的可靠性风险控制方法
12.
Risk Controlling and Implementation of Financial Derivatives in China Construction Bank;
建行金融衍生产品的风险控制及应用
13.
A Study on the Emerging Mechanism and Control of Industrial Cluster Risks;
产业集群风险的形成机理及控制研究
14.
The Risk and Control Analysis of Chinese Real Estate Market;
浅析中国房地产市场的风险及其控制
15.
The Analysis of Risk and Control of Satellite Platform Industry Clusters;
卫星平台式产业集群风险和控制分析
16.
Properties Game and Optimization of Control in VC-backed High-tech Firms;
风险科技企业产权博弈与控制权优化
17.
The Research of the Control and Avoidance of the Crisis of Industrial Clusters in China;
我国产业集群的风险防范与控制研究
18.
Lead and implement the process of risk identification, classification mitigation and review.
有效掌控公司生产营运过程中的风险,进行风险识别,分类和控制。