1.
Modeling Study of Insurance Portfolio in China s Capital Market;
基于期权理论的动态证券资产配置策略研究
2.
The strategy about impelling the market construction of asset securitization;
推动资产证券化市场建设的策略分析
3.
Research of the Dynamic Portfolio Insurance Adopting in China s Security Market;
动态资产组合保险策略在中国证券市场的应用研究
4.
Uncertainty,Investment Horizon and Dynamic Asset Allocation Strategy;
投资收益不确定、投资期限与资产配置的动态调整策略
5.
The Study on the Asset Allocation of Security Investment Fund and Performance;
证券投资基金资产配置及其绩效研究
6.
The Study on the Asset Allocation Efficiency of Securities Investment Fund in China;
我国证券投资基金资产配置效率研究
7.
Research of Dynamical Portfolio Insurance Strategies in Shanghai Security Market;
上海证券市场动态投资组合保险策略应用研究
8.
The Research on Major Components Collocation of Securities Investment Strategy and Rating System of Open-end Funds in China;
我国开放式基金证券投资策略中的权重股配置及基金评级研究
9.
Property Right,Competition and Resource Distribution Efficiency in Security Market
产权、竞争与证券市场资源配置效率
10.
Empirical Research on the Efficiency of Assets Allocation of China s Securities Investment Fund;
中国证券投资基金资产配置效率实证研究
11.
The Bank Assets Allocation under Strategies of Liquidity Risk Management
流动性风险管理策略下的银行资产配置研究
12.
A Probe to Margin Analysis of Portfolio Investment Assets Allocation
组合证券投资资产配置的边际分析法初探
13.
Asset Allocation of Mutual Fund in Risk Framework;
风险框架下的证券投资基金资产配置研究
14.
Research on the Combinational Strategies of Conventional Assets of Security Investment Fund;
证券投资基金传统投资资产组合策略研究
15.
the collocation of capital risk of security market in China is under extreme distortion and low efficiency;
我国证券市场的资本风险配置极度扭曲,处于低效配置状态。
16.
H_∞ Control with State Feedback for a Kind of Portfolio Investment Problem;
一类证券组合投资问题的H_∞状态反馈投资策略
17.
The China's Mutual Funds' Investment Strategy Rotation and Volatility of Stock Market
中国证券投资基金投资策略轮动与市场波动
18.
The resource allocation policy %1 was set as the managing policy at service start time. Resource allocation policy: %1
资源分配策略 %1 在服务启动时被设置为管理策略。资源分配策略: %1