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1.
Analysis of ARCH-type Models on the Volatility of Share Yield in Chinese Stock Market;
中国股市收益波动性的ARCH族模型分析
2.
Empirical Analysis of Volatility Characteristic in China Stock Markets;
基于高频数据的中国股市收益波动特征研究
3.
THE APPLICATION OF PB-GARCH MODEL ON THE VOLATILITY OF CHINESE STOCK MARKET;
PB-GARCH模型在中国股市收益波动率研究中的应用
4.
Volatility of Stock Market Yields and Policy s Impact;
我国股市收益波动特征及政策因素影响分析
5.
Stock Market Returns, Volatility and the Role of Investor Sentiment in China;
中国股市收益、收益波动与投资者情绪
6.
Stock Market Returns,Volatility and Urban Residential Consumption Behavior in China
股市收益、收益波动与中国城镇居民消费行为
7.
An Empirical Study on the Asymmetry Volatility of China A Share Stock Market;
中国A股市场收益波动的非对称性研究
8.
Interday return volatility of China stock market: An empirical analysis;
中国股市隔天收益波动率的实证研究
9.
Study on ARFIMA-FIGARCH Model of Return and Volatility Processes in Chinese Stock Market;
中国股市收益及波动的ARFIMA-FIGARCH模型研究
10.
Weekday Effect on Shanghai Stock Market Return and its Volatility;
上海股市收益与波动的周内效应研究
11.
The Practical Study on Variance Return in Stock Market;
股票市场收益方差的波动性实证研究
12.
Study of Chinese Stock Return and It s Volatility;
中国股票市场股指收益率及波动性研究
13.
Returns on the Indices of Stock Shares and Volatility: Evidence from China s Stock Markets;
股指收益与波动性——对中国股市的实证研究
14.
An Empirical Analysis of Mutual Fund Investment and Stock Volatility;
基金持股比例与A股市场收益波动率的实证分析
15.
An Empirical Study on the Relation between Stock Return and Volatility in the China Stock Markets;
中国股票市场的股票收益与波动关系研究
16.
Analysis about Relationship between the China s Stock Market Volatility and Macro-economy Volatility-Based on the ROI of Shanghai Stock Market;
基于上海股市收益率的中国股市波动与宏观经济波动关系分析
17.
Study on the Volatility of Returns Rate of Real state Indices in Shenzhen and Shanghai Security Market;
深市、沪市地产股指数收益率波动性的统计研究
18.
Research on Fluctuation Characteristics and Relationship of Stock Index Return Rate Between Hongkong H-shares and Hu-shen Stock;
香港国企H股与沪深股市股指收益率波动特征及其关系研究