1.
A study of Delegated Portfolio Management Contract with Information Cost
考虑信息成本的委托资产组合管理合同研究
2.
Application Analysis of Option on Portfolio Management Performance Reward
期权在资产组合管理绩效报酬设计中的应用
3.
The Research of Captital Adequacy Requirement and Assets Combination Management of Commercial Bank
资本充足率要求与商业银行资产组合管理问题研究
4.
Study on the Capacity of Portfolio Management in China's Securities Investment Funds
我国证券投资基金的积极资产组合管理能力研究
5.
Credit Portfolio Management Based on Mechanism Innovation of Loan Trade Business
基于贷款交易业务模式创新的信贷资产组合管理研究
6.
Self Financing Transaction Strategies, Duplicated Assets Portfolio and Risk Management
自融资交易策略、复制资产组合和风险管理
7.
Capital optimizing strategy and management of American SDG company;
美国SDG公司的“资产组合优化战略及管理”
8.
b. Managing Bond Portfolios
b. 债券投资组合管理
9.
Optimization Model of Risk Management and Asset Portfolio with Consideration of Electricity Derivatives;
考虑电力衍生产品的风险管理和资产组合优化模型
10.
Studay on Currency Structure of Foreign Exchange Reserves Management Base on the Theory of Asset Portfolio;
基于资产组合理论的外汇储备币种结构管理研究
11.
La-VaR Portfolio Risk Management Based on the Correlation between Market Risk and Liquidity Risk;
考虑市场风险与流动性风险的La-VaR资产组合风险管理
12.
Study on the Restructuring Models of Non-performing Assets of Assets Management Company in China;
中国金融资产管理公司不良资产重组模式研究
13.
Study on the PBF Contract in the Delegated Portfolio Management;
委托组合投资管理之PBF合同研究
14.
THINKING ABOUT THE SYSTEM OF JOB RESPONSIBILITY ON OPERATION AND MANAGEMENT FOR NATIONAL ASSETS IN JOINT INVESTMENT RAILWAYS;
对合资铁路国有资产经营管理的思考
15.
Finance Asset Management Corporation Equity Reorganization Performance Research;
金融资产管理公司股权重组绩效研究
16.
My stockbroker manages my portfolio for me.
我的证券经纪人替我管理投资组合.
17.
strategy for the management of human resources of the Organization
联合国组织人力资源管理战略
18.
A Research on the Dynamic Correlation in Portfolio Risk Management;
投资组合风险管理中动态相关性研究