1.
An Investor s Sentiment Model of Over-reaction and Under-reaction to China s Stock Markets;
中国股市反应偏差的投资者心态模型
2.
Small and Medium-Sized Investors s Stock Investment Mentality Risk Adjustment Model;
中小投资者股票投资心态调整风险控制模型
3.
A Dynamic Asset Pricing Model with Heterogeneous Investors
一个具有异质性投资者的动态资产定价模型
4.
A Nonlinear Dynamical Model of Asset Prices on the Transition Probabilities between Buyers and Sellers and Its Empirical Research
投资者买卖观点转换概率的非线性资产价格动态模型及实证研究
5.
A New Capital Assets Pricing Model Based on Heterogeneity Investors
基于异质投资者的资本资产定价模型
6.
A Comprehensive Research on Investor Psychology and Analysis of Investor Psychology in Invest Bubble;
投资者心态分析及其对投资泡沫的影响
7.
Research on Attitude of the Sports Lotto Buyers--The Feasibility of Lotto Investment in China;
乐透型彩票购买者心态的定量研究——兼论我国彩票的可投资性
8.
A Portfolio Selection Model Base on Investment Psychology;
基于投资心理建模的证券投资组合模型
9.
A Bayesian Dynamic Model of Human Capital Investment's Value
人力资本投资价值的贝叶斯动态模型
10.
Research on Chance/Risk Model for Dynamic Investment Strategy;
动态投资决策的机会/风险型模型研究
11.
Equilibrium Pricing Model of Stocks Based on Investors Overconfidence and Pessimism;
体现投资者过度自信和悲观心理的股市均衡定价模型
12.
Two state variables evaluating model of venture capital investments
两状态变量风险投资项目的投资价值评估模型
13.
Small and Medium Investor Securities Investment Risk Quantization Controled Model;
中小投资者证券投资风险量化控制模型
14.
Behavioral Portfolio Model of Institutional Investors Based on Multi-Agent;
基于Multi-Agent的机构投资者行为投资组合模型
15.
Behavioral Portfolio Model of Institutional Investors Based on Mean-Entropy;
基于均值-熵的机构投资者行为投资组合模型
16.
Study of the Dynamic Portfolio Model with Capital-at-Risk;
基于CaR的动态投资决策模型研究
17.
Mean-VaR and Dynamic Portfolio Models Analysis;
均值-VaR与动态投资组合模型分析
18.
Dynamic Portfolio Model under a Capital at Risk Constraint;
基于CaR风险约束的动态投资组合模型