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Keyword [Time-varying Copula Function]
Result: 1 - 4 | Page: 1 of 1
1. An Applied Study On Risk Management Of The Open-end Fund Portfolio Based On Copula Methods
2. Comparative Study On The Measurement Precision Of Portfolio Risk Model Under The Background Of Financial Contagion
3. A Study Of Stock And Bond Portfolio Strategy Based On Copula Model
4. A Study Of Co-Movement Between Mainland Stock Market And Hong Kong Stock Market Under The Background Of Shanghai-Hong Kong Stock Connect And Shenzhen-Hong Kong Stock Connect
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