1.
On China s Insurance Investment Securitization;
关于我国保险投资证券化问题的探讨
2.
On Credit ABS Investor Protection System;
信贷资产证券化投资者保护机制探讨
3.
The Analysis of Effect of Investing Bank on Asset-backed Securities;
投资银行在资产证券化中的作用分析
4.
Small and Medium Investor Securities Investment Risk Quantization Controled Model;
中小投资者证券投资风险量化控制模型
5.
Reasons of changes of style of Chinese security funds;
中国证券投资基金投资风格变化原因分析
6.
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
7.
The Quantitative Analysis of the Return and the Risk of Portfolio Investment
证券组合投资收益和风险的量化分析
8.
A Mean deviation Portfolio Optimal Selection Model
均值—离差型组合证券投资优化模型
9.
Portfolio Model of Future Investment
一类组合证券投资模型的演化与改进
10.
A Model of Risk-Minimization for Portfolio Investment
证券组合投资风险最小化模型的构建
11.
FUrther Study on Various Models of Portfolio
证券投资组合优化模型的进一步研究
12.
Two Optimization Methods for Portfolio Investment Decision
证券组合投资决策的两种最优化方法
13.
One Kind of International Optimal Security Investment Problem under the Partial Information;
一类部分信息下证券投资最优化问题
14.
Studies on the Modeling and Algorithm of Portfolio Optimization;
证券投资组合优化模型及其算法研究
15.
The Application of Financial Market Risk Measurement and Modern Portfolio Theory Based an Copula and EVT;
证券投资组合的市场风险度量与优化
16.
QFII and Internationalization of Securities Investment Market in China;
QFII制度与我国证券投资市场的国际化
17.
The Analysis on the Optimized Combination of the Share Investment Based on MATLAB;
基于MATLAB的证券投资组合优化分析
18.
Transformed of Model and Optimal Solution of Portfolio Investment;
证券投资优化模型的改进和算法研究