1.
Mean-Variance Model with New Type Risk Perceptions and Empirical Research;
新型风险感受下的均值-方差模型与实证研究
2.
Risk and Insurance:The Selective Model of Enterprises New Technique;
风险与保险:企业的新技术选择模型
3.
The Venture Avoidance and Optimized Model of Venture Investment in High Technology;
高新技术风险投资的风险规避与优化模型
4.
New Development of Credit Risk Models and Risk Management of Commercial Bank;
信用风险模型的新发展与商业银行风险管理
5.
New Insight on Multi-national Company s Risk Management;
跨国公司风险管理新视野——战略风险管理模型
6.
Research on Strategic Risk of Small and Medium Sized High & New Technology Enterprises;
中小型高新技术企业的战略风险研究
7.
A EXTREME VALUE DISTRIBUTION ON A RENEWAL RISK MODEL WITH INTEREST FORCE;
带息力更新风险模型的一个极值分布
8.
GAVaR Model of Risk Measure of Convertible Bonds;
可转换债券风险测度的新方法——GAVaR模型
9.
On the Renewal Risk Model When the Premium Income Is a Poisson Process;
保费收入为Poisson过程的更新风险模型
10.
Establishing a New Doctor-patient Relationship and Controlling the Medical Risk in Hospitals;
构建新型医患关系 控制医院医疗风险
11.
Project-at-Risk (PaR):A New Risk Management Method for Large-Scale Project;
PaR——大型项目风险管理新方法
12.
A new method to build the model to measure the risk of venture investment;
一种新的风险投资组合模型构建方法
13.
The Model of Risk Decision-Making for the Renovation of the Key Machines in the Die and Mould Enterprise;
模具企业关键设备更新风险决策模型
14.
A KIND OF ERLANG(2) RISK MODEL WITH NEW DIVIDEND BARRIER
一类具有新红利界限的Erlang(2)风险模型
15.
The Two-Dimensional Renewal Risk Model about Interest Rate and the Disturbance Factor
带利率和干扰因素二维更新风险模型
16.
Non-Recovery Ratio:A New Risk Measure for Insurers;
未偿率模型:保险公司风险度量的新方法
17.
THE NEGATIVE RISK MODEL PERTURBED BY BROWNIAN MOTION WITH NEW KINDS OF POLICY ARRIVAL;
带扰动的具有新险种开发的负风险模型
18.
Construction of compound risk tendency function and new explanation on risk attitude;
复合型风险倾向函数构造和人们对风险态度的新解释