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Keyword [non-normal distribution]
Result: 1 - 12 | Page: 1 of 1
1. A Study On Portfolio Selection Model On Condition Of Non-normal Distributions
2. Determination Of The Optimum Process Mean And Optimization Design Of The Control Charts Based On Non-normal Distribution
3. Dynamic Financial Volatility Model Based On Non-normal Distribution
4. Research On The Model Of Economic Benefits For Six Sigma
5. The Application Of Financial Market Risk Measurement And Modern Portfolio Theory Based An Copula And EVT
6. The Analysis Of Portfolio Risk Based On Non-normal Distribution
7. Mean-Scale Parameter Portfolio Model Analyse Attention To Invest Psychology
8. The Empirical Distribution Of Chinese Stock Market Returns
9. Study On The Expected Returns Of Stock Market
10. Process Capability Evaluation Research Via Continuous Ranked Probability Score
11. Quality Monitoring And Diagnosis Of Auto Parts Enterprises Under Non-normal Distribution
12. ETF Option Value Evaluation Under Non-Normal Distribution Price Change Conditions
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