Font Size: a A A
Keyword [VaR risk measurement]
Result: 1 - 7 | Page: 1 of 1
1. Optimal Reinsurance Strategy Based On Two-stage Method
2. Optimizing Turtle Trading Strategy Based On GARCH Model And VAR Risk Measurement Method
3. Measuring Stock Market Risk Based On Realized HAR-GARCHSK Model
4. Research On Futures Risk Measurement Based On ARMAX-GARCH Family Model
5. Application Of Extreme Value Theory Based On Poisson Process In Risk Measurement
6. Comparative Analysis Of Risk Prediction Models For China’s Crude Oil Futures Market
7. Research On The Mixed Average GAS Factor Model And Its Application In China’s Stock Market
  <<First  <Prev  Next>  Last>>  Jump to