1.
A Comparative Research and Enlightenment on the Supervision of Foreign Banks Asset Risk Granularity;
外资银行资产风险集中度监管比较研究及启示
2.
The Institutional Puzzle and Innovation of Funds Settlement;
资金集中结算:制度完善与风险控制
3.
Risk Measure and Management in Chinese Real Estate Enterprises
中国房地产企业的融资风险——风险度量与防范对策
4.
Portfolio integrated risk measurement and its application-VaR method based on goodness-of-fit copula functions;
资产组合的集成风险度量及其应用——基于最优拟合Copula函数的VaR方法
5.
Asset pricing methods based on risk attitude of investors
基于投资者风险态度的资产定价方法
6.
On analysing risk of state owned asset loss in process of resetting asset;
资产重组中国有资产流失的风险分析
7.
Credit Paradox has long made concentration risk a potential burden on commercial banks.
信贷悖论一直以来使商业银行不得不承受信贷资产集中的风险。
8.
The Risk Analysis of Integrated Circuit Project in China;
中国集成电路芯片项目投资风险分析
9.
Analysis on the Risks of Financial Mixed Profession Management System by Portfolio Management Theory
从资产组合角度分析混业经营的风险
10.
Literatures Review on Portfolio Risk Measurement and Selection
资产组合风险度量与选择之文献述评
11.
Xi an Real Estate Investment Risk Measurement Study;
西安市房地产项目投资风险度量研究
12.
The Risk of Credit System for the Bank Loans Securitization;
银行信贷资产证券化的信用制度风险
13.
Measuring Portfolio ES Risk Measure by a Copula-EVT Based Approach;
资产组合ES风险测度的Copula-EVT算法
14.
Study on Venture Capital's Investment Decision in China Media Industry;
风险资本投资中国传媒产业决策研究
15.
Selecting Representatives of Risk Assets in Capital Market;
资本市场中代表风险资产的选择问题
16.
Agency Problem,Brisk Sharing and Institution Arrangement in Venture Capital;
风险投资中的代理问题及风险分担与制度安排
17.
Agency Problem, Risk Sharing and Institution Arrangement in Venture Capital;
风险投资中的代理问题、风险分担与制度安排
18.
Institutional Analysis and Mechanism Innovation of Venture Capital in China s High-tech Industry;
中国高技术产业风险投资的制度分析与机制创新