Font Size: a A A
Keyword [normal distribution]
Result: 1 - 20 | Page: 1 of 4
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. The Option Pricing Model Based On Neural Network
5. Research On The Model Of Economic Benefits For Six Sigma
6. Stable Distribution And Portfolio Research
7. Research On Loss And Claim Distribution Fitting Methods In Non-life Insurance
8. Two Levels Quantitative Test Of Governmental Statistical Data Quality
9. Stochastic Method Of Estimation Of IBNR Reserves
10. Theory Analysis And Practice Research In Project Supervision
11. Research On Supplier's Quality Supplying Competence Under Mixed Quality Characteristics
12. The Application Of Financial Market Risk Measurement And Modern Portfolio Theory Based An Copula And EVT
13. The Research Of Six Sigma Management And Application In SAE
14. The Analysis Of Portfolio Risk Based On Non-normal Distribution
15. An Empirical Research On VaR's Trimodal Distribution Model Of The Return Ratio Of Shanghai Stock Market
16. A Study Of Credit Risk Of Student Loan Securitization
17. Measurement Of The Financial Risks And Its Efficient Frontier
18. Mean-Scale Parameter Portfolio Model Analyse Attention To Invest Psychology
19. Theory And Analysis Of Returns Of IBM Asset Based On Hidden Markov Model
20. The Model And Application Of VaR In The Risk Evaluation Of Open Foundation
  <<First  <Prev  Next>  Last>>  Jump to