1.
A Research on Asset-Mix Investment Strategy and Canner Puzzle in Stochastic Environments;
随机环境中资产混合策略及对Canner问题的研究
2.
OGY Chaos Control Strategy for Real Estate Investment Bubbles;
房地产投资泡沫的OGY混沌控制策略
3.
Research on Methods and Applications of Production Scheduling in the Hybrid Process;
混合流程型生产调度策略的应用研究
4.
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
5.
Research on Emergency Resource Scheduling Based on Hybrid Optimization Algorithm
基于混合优化策略的应急资源调度研究
6.
On Multi-purpose Utilization of Mineral Resources in Panzhihua City;
攀枝花市矿产资源综合利用策略探讨
7.
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
8.
Empirical Research on REITs Portfolio Selection;
房地产投资基金投资组合策略实证研究
9.
Research on Multiresolution Recognition of Risk and Portfolio for Financial Assets;
金融资产多分辨风险识别及投资组合策略
10.
mixed-strategy precedence parser
混合策略优先分析程序
11.
Risk Analysis and Countermeasure of Mixed Developing Investment in Real Estate;
混合型房地产开发投资风险分析与对策研究
12.
On the Strategy for the Interfusion between Media Industry and Capital Market in China
我国传媒产业与资本市场融合的策略思考
13.
Research on Real Estate Investment Performance Based on Diversification Policy;
基于分散化组合策略的房地产投资绩效研究
14.
Dimension-reduced Strategy of Real Estate Portfolio Investment Model;
房地产组合投资风险控制模型的降维策略
15.
Fuzzy prediction model and its application in bank credit assets combination;
模糊策略下的银行信贷资产最优化组合模型
16.
The Loss of Intellectual Property in the Establishment of Joint Enterprises and the Corresponding Tactics;
企业合资中知识产权的流失与防范策略
17.
Present conditions of resource-intensive industrial structure and considerations of rationalization strategy;
资源型产业结构现状及合理化策略的思考
18.
Research of ultimate ruin probability problem with portfolio investment
组合投资策略下的最终破产概率问题研究