1.
The Precautions against the Three Compatibilities Risks of the Listed Companies and Perfect of the Independent Director System;
上市公司三类相容性风险防范与独立董事制度的完善
2.
Insurance Portfolio Individual Dependent Risk Analysis;
保险投资组合的个体风险相依性分析
3.
PROPERTIES ON SOME ORDERS OF RISKS IN INSURANCE AND THEIR INTERRELATIONS;
某些保险风险序的性质及其相互关系
4.
Review of the Interaction of Market Risk and Credit Risk
重新审视危机后的信用风险和市场风险相关性
5.
Building an Incentive-compatible Banking Internal Risk Control System;
建立激励相容的银行内部风险控制制度
6.
Reducing the risk of ABO incompatibility by two specimen policy
利用两次血型制减少ABO不相容输血风险的研究
7.
Recovery Rate and Default Correlation of Credit Risk Model;
信用风险模型的回收率与违约相关性
8.
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
9.
Research on Firm Internal Control and Financial Risks;
企业内部控制与财务风险相关性研究
10.
Correlativity discussion of risk assessment and insurance in textile enterprise;
纺织企业风险评价与承保相关性探讨
11.
On a Correlated Two Poisson Risk Model;
具有相关性的Poisson分布风险模型
12.
On the pertinence relation among the risky factors in the equity market of China;
中国股票市场风险因素的相关性研究
13.
Extremal Dependence between Return Risk and Liquidity Risk:An Analysis for the Shanghai Stock Market;
上海股票市场流动性风险与市场风险的极值相关分析
14.
Some Key Issues on the Association of Central Obesity and Metabolic Risk Factors;
中心性肥胖与代谢性风险因子的相关问题研究
15.
Study on the Default Correlation Based on Risk Neural Copula;
基于Copula风险中性校准的违约相关性研究
16.
Study on Risk Premiums of Correlation and Idiosyncratic Volatility Using DCC
DCC架构下相关性和特质波动性的风险溢价
17.
The association between the survivin C-31G polymorphism and gastric cancer risk in Chinese population
中国人群survivin C-31G多态性和胃癌风险相关性研究
18.
Equilibrium pricing for zero coupon bond when the representative's utility shows linear risk tolerance under the linear jump diffusion processes
线性风险容忍度效用下线性跳跃扩散过程的零息债券均衡定价