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41. Stochastic Method Of Estimation Of IBNR Reserves
42. Theory Analysis And Practice Research In Project Supervision
43. Research On Supplier's Quality Supplying Competence Under Mixed Quality Characteristics
44. The Application Of Financial Market Risk Measurement And Modern Portfolio Theory Based An Copula And EVT
45. The Research Of Six Sigma Management And Application In SAE
46. The Analysis Of Portfolio Risk Based On Non-normal Distribution
47. An Empirical Research On VaR's Trimodal Distribution Model Of The Return Ratio Of Shanghai Stock Market
48. Research On The Management And Operation Problems Of Open-end Funds In China
49. A Study Of Credit Risk Of Student Loan Securitization
50. The Research On Accounting Strategy Responding To Anti-Dumping
51. The Simulation Of The Statistical Character Of High Frequency Data Of Chinese Stock Market With Voter Model
52. Measurement Of The Financial Risks And Its Efficient Frontier
53. Mean-Scale Parameter Portfolio Model Analyse Attention To Invest Psychology
54. Anti-Dumping Accountancy Research Based On Normal Value
55. Accounting Information Affect Share Prices And The Choice Of Accounting Policies An Empirical Study
56. Some Properties Of Kernel Estimation Of Value At Risk For ρ-mixing Financial Time Series
57. Theory And Analysis Of Returns Of IBM Asset Based On Hidden Markov Model
58. Decision-Making Choice For Local Normal University To Develop Science Park In The Game Environment
59. Some Research On Process Capability Analysis And Process Capability Indices
60. The Model And Application Of VaR In The Risk Evaluation Of Open Foundation
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