1.
Research on Consumer Perceived Risk and Risk Relivers;
消费者的感知风险和减少风险策略研究
2.
Analysis on Real Estate s Investment Risks and the Risk Prevention Strategies;
浅析房地产投资风险及风险防范策略
3.
SARS risk and the safety strategies of risk city;
SARS风险与风险城市的安全策略
4.
Study on the Risk Control for Venture Capital in the Stage of Project Selection;
风险投资项目选择阶段的风险控制策略研究
5.
Risk analysis and control strategy of cycle logistics chain;
循环物流链风险分析与风险控制策略研究
6.
A Study on Staged Investment of Venture Capital to Solve the Problem of Moral Hazard;
化解道德风险问题的风险资本分阶段投资策略
7.
An Analysis of the Investment Strategy Selection of Venture Capitalists;
风险投资家在风险项目上的投资策略选择分析
8.
Farmers risk Cognition and Coping Mechanism in Risk Society;
风险社会中农民的风险意识与应对策略研究
9.
Risk management strategies in accounting firms:View on high order expected shortfall
会计师事务所风险管理策略:高阶期望风险视角
10.
Bank financing's risk conducting mechanism and risk management strategy research
银行理财的风险传导机制与风险管理策略研究
11.
Flood risk management strategy for England and Wales
英格兰和威尔士的洪水风险管理策略
12.
Risk Control Strategy Analysis of Implementing ERP
企业资源计划实施风险控制策略分析
13.
Investment Portfolio Strategy of the risk bated based on β-set
基于β-域的证券投资风险弱化策略
14.
Analysis of β Risk Set for Shanghai Stock Market and Its Set Investment Portfolio Strategy
沪市β-风险域分析及其投资组合策略
15.
CVaR Based Risk Assessment of Bidding Strategy for Generation Company;
基于CVaR风险度量的发电商竞价策略
16.
Risk, Strategy and Institution Change: Farmers Perspective;
风险、策略与制度演变路径:农户视角
17.
Study on the Consumption-Portfolio Strategy with Risk Aversion;
带有风险回避的消费—投资策略研究
18.
Studing of ASP s Application Model and the Risk Avoiding;
ASP应用模式及其风险防范策略研究