1.
The Adverse Selection Component of the Bid-ask Spread in Shenzhen Market Estimation and Analyses;
REITs风险收益特征及其资产配置作用
2.
The Features of Risk and Return of the SSE Dividend Index;
上证红利指数的收益与风险特征研究
3.
The Research on the Return Distribution, Volatility Characteristics and Risk Measurement of Stock Market;
股票市场收益分布、波动特征与风险度量研究
4.
Study on the Return and Risk of Long-Term Holding Risk Assets Based on the Monte Carlo Analysis
长期持有风险资产的收益率和风险的蒙特卡洛分析
5.
On one 's account and risk
由某人收益并负风险
6.
Empirical Analysis on Risk-Return Level of Chinese Insurance Companies;
中国保险公司风险收益水平实证分析
7.
The Analysis on the Income and Risk of Insurance Company Appears on Market;
浅析我国保险公司上市的收益与风险
8.
Looking the Municipal Income Bond’s Issue from the Risk and the Profit Allocated Proportion Angle;
从风险与收益配比角度看市政收益债券的发行
9.
A Study on Risk correlation between Stock Market and Listed Companies' profitability
上市公司股价收益与股权收益的风险关系研究
10.
Investment has risk which is direct ration with revenue.
投资就有风险,并且风险和收益呈正相关。
11.
Credit Risk Management Based on a Balanced Control of Risk and Profit;
基于风险—收益均衡控制的信用风险管理研究
12.
Research on venture capital firm s risk premium of due diligence;
风险投资公司尽职调查的风险收益研究
13.
Research on the Lucre, Risk, and Development of Native Bankcard Business
我国银行卡收益、风险与发展问题研究
14.
6.Information Warfare is a low risk/ high reward endeavor.
信息战争是低风险高收益的活动。
15.
An Analysis on the Gains and Risks of International Portfolio
国际证券组合投资的收益与风险分析
16.
OPTIMAL ANALYSIS METHOD FOR RETURN AND RISK OF PORTFOLIO
投资组合收益及风险分析的优化方法
17.
The Quantitative Analysis of the Return and the Risk of Portfolio Investment
证券组合投资收益和风险的量化分析
18.
The Empirical Study of the Stock s Gains and Risks of A-share Market;
A股市场个股收益与风险的实证研究