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Keyword [normal distribution]
Result: 21 - 40 | Page: 2 of 4
21. Credit Risk Measurement Basing On The Modified CreditRisk+ Model
22. The Pricing Of Brockerage Collection Product Under Jump Diffusion Model
23. Research On VaR Of Interest Rate Risk In China's Interbank Treasury Bonds Repurchasing Market
24. Outstanding Loss Reserve Estimation Method Comparison Study
25. Study On Order Strategy For Perishable Goods Based On Repetitious Resalable Returns
26. Investment Research On The Impact Of Social Insurance
27. Asian Option Pricing Model And Its Empirical Research
28. The Empirical Analysis Of The Real Estate Stock Price Fluctuations
29. China's Stock Market Rate Of Return Calculation Method Yields The Distribution Of Empirical Research
30. The Limit Properties Of Parameter Estimation In Risk Measure
31. Var Measurement And Empirical Research Based On EGARCH Model
32. The Empirical Distribution Of Chinese Stock Market Returns
33. A Study For The Measurement Of The Risk Of Security Investment And Its Applications
34. ARMA-GARCH Model And The Calculation Of Var Based On Mixed Normal Distribution
35. The Study Of Distortion Risk Measure In Skewed Normal Distribution
36. Q Normal Distribution And The Application Of VaR Estimation In The Stock Market
37. Research On Method Of Local Parts Inventory Control Of A Company
38. The Research Of H Fund Management Company For Risk Management Of Stock Investment Market
39. Comparison Of The Risk Management Approach Based On The VaR And Empirical Test In The Stock Market
40. The Study On The Multi-Factor Financial Diagnosis And Appraisal Based On Normal Distribution
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