1.
The Weighting Function of Prospect Theory and Stock Returns Distributions;
展望理论的权重函数与证券收益率分布
2.
yields on Bonds/securities
债券(证券)的收益
3.
Comparison between stocks of high and low price to earnings ratio in Shanghai A share;
上海证券市场A市股盈率与收益率相关性分析
4.
Empirical Study of Tax-Effect in the Interbank Bond Market;
银行间债券市场收益率曲线税收效应实证研究
5.
An Empirical Study on the Stock Return Seasonal Effect in Security Market;
证券市场股票收益率季节效应的实证研究
6.
fixed-income security
有固定收益保证的证券
7.
Effects of Transaction Cost on the Rate of Return of Investors in Chinese Security Market
证券市场交易成本对投资者收益率的影响
8.
The Portfolio Decision Model Based on Minimizing Risk to Return Ratio
单位收益率风险最小的组合证券投资决策模型
9.
Weighted portfolio selection for return rate with fuzzy number
收益率为模糊数的加权证券组合选择模型
10.
Comparison of the Volatility of Different Index in Shenzhen Stock Exchange
深圳证券交易所不同指数收益率的波动比较
11.
In this paper the return and risk of portfolio are analyzed.
文章首先分析了组合证券投资的收益率和风险。
12.
Symmetry of yield distribution of Shanghai Stock Market;
上海证券市场收益率分布的对称性研究
13.
Parallel Movement of Effective Frontier in Expected Portfolio Return;
证券期望收益率同值变动时有效边界平移分析
14.
Analysis of Return on Capital and Asset Securitization for Henan Highway
河南高速公路资本收益率及其证券化分析
15.
The author inquiers into preliminarily profits and risks of portfolio investment and makes use of variance and expectation to describe the rate of negotiable securities investment.
本文初步探讨有关组合证券的收益与风险 ,利用均值和方差来描述证券投资收益率。
16.
The Relationship between Liquidity, Variability of Liquidity and Stock Returns in China;
中国证券市场股票流动性及其波动率与收益率的关系
17.
Return Spillover Effect of RMB/USD to Chinese Securities and Futures Market Based on SVAR Model
基于SVAR的人民币汇率对中国证券期货市场收益率的溢出效应研究
18.
Securities Market Turnover and Its Effect on Yield Volatility;
证券市场成交量对收益率波动性影响的实证分析