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Keyword [value at risk]
Result: 141 - 160 | Page: 8 of 10
141. Applied Research Of VaR Methods For Chinese Insurance Funds Investment
142. Research On Commercial Bank's Market Risk Base On Basel II
143. Research On The Model Of Insurance Funds Investment Based On VaR-RAROC
144. Investigation Of Listed Companies Multisynthetic Evaluation Indicator System Introduced In Risk Factor
145. Empirical Research On VaR Model On Chinese Stock Market Based On GJR-GARCH, FHS, Copula & EVT
146. A Study On Foreign Exchange Risk Management Of Chinese Commercial Banks
147. Risk Control And Management On Cash Flow Of Petrolchemical Enterprise
148. Study On The Hedging Theory And Application Of Stock Index Futures
149. A Study Of Portfolio Optimization Model Based On CVaR And Empirical Comparison Research
150. The Empical Recearch Of Security Market With VaR Risk Management Approach
151. Methods Of Risk Measures In Open-end Fund In China
152. The Research Of Risk Management In Electricity Markets
153. The VaR Research Of The Shanghai And Shenzhen 300 Index Products
154. Research On Models For The Bilevel Newsboy Problem With CVaR Criterion
155. The Market Risk Measurement Research Of China Commercial Bank Based On VaR
156. The Theory And Empirical Study In The Securities Business Of VaR And CVaR
157. GARCH/TARCH Modeling And Empirical Analyzing Base On Different Distribution Of Value At Risk
158. Calculation Method Research To Value-at-Risk(VaR) Of Stock Market In Extreme Cases
159. Research Of IPOs' Pricing Based On VaR Theory
160. Study On Financial Risk Theory And Its Application
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