1.
Liabilities Risk Management Research of Expressway Project;
![点击朗读](/dictall/images/read.gif)
高速公路贷款项目负债风险管理研究
2.
A Study on ALM for Insurance Enterprise Based on Interest Rate Risk;
![点击朗读](/dictall/images/read.gif)
基于利率风险的保险公司资产负债管理研究
3.
The Risk-Profit Analysis on Asset Liability Management Research Of a Commercial Bank;
![点击朗读](/dictall/images/read.gif)
商业银行资产负债管理的风险收益权衡分析
4.
Valuation and Venture Management of Banks Asset/Liability Sheet with Embedded Options;
![点击朗读](/dictall/images/read.gif)
银行资产负债中隐含期权的识别与风险管理
5.
Analyzing the Enterprises’Assets-and-debt Management by Observing the Change in Exchange Rate;
运用汇率变动分析企业的资产负债和风险管理
6.
Interest Rate Risk Management of Assets & Debts of Commercial Banks in China;
![点击朗读](/dictall/images/read.gif)
论我国商业银行资产负债利率风险管理
7.
On Interest Risk Gap-management of Commercial Banks in China;
![点击朗读](/dictall/images/read.gif)
商业银行资产负债利率风险的缺口管理
8.
An optimal model of asset-liability-management based on VaR constraint
![点击朗读](/dictall/images/read.gif)
VaR风险控制的银行资产负债管理优化模型
9.
Risk Control and Management of Life Insurers;
![点击朗读](/dictall/images/read.gif)
寿险公司风险控制与管理——动态资产负债管理的视角
10.
Improving Debt Supervision and Reducing the Paying Risk;
![点击朗读](/dictall/images/read.gif)
加强政府债务管理 减少财政偿债风险
11.
Optimal Model of Asset-liability-management Based on Law s Constraint and VaR Control;
![点击朗读](/dictall/images/read.gif)
基于VaR风险控制和法规约束的银行资产负债管理优化模型
12.
Rate Risk Management of Bank sAsset/ Liability Sheet with Embedded Options
![点击朗读](/dictall/images/read.gif)
我国商业银行资产负债中隐含期权的利率风险管理
13.
Asset-liability management for insurance investment.
![点击朗读](/dictall/images/read.gif)
第二章:保险投资的资产负债匹配管理。
14.
Research on Dynamic Assets and Liabilities Management Technology in Chinese Life Insurance Company;
寿险公司动态资产负债管理技术研究
15.
Research on Asset Liability Management Model
![点击朗读](/dictall/images/read.gif)
我国寿险公司资产负债管理模型研究
16.
Applied Research on Dynamic Assets-Debts Management for Life Insurance Companies;
![点击朗读](/dictall/images/read.gif)
寿险公司资产负债管理技术的应用研究——动态资产负债管理的视角
17.
The Regulating Countermeasure Against Local Government Debt Risks;
![点击朗读](/dictall/images/read.gif)
地方政府负债风险监管的现状及对策研究
18.
Research and teaching: actuarial science, risk management, personal financial planning, asset/ liability management, pension etc.
主要教学和研究领域:精算学、风险管理、个人财务策划、资产负债管理、养老金。