Font Size: a A A
Keyword [index return]
Result: 1 - 20 | Page: 1 of 2
1. Study Of Chinese Stock Return And It's Volatility
2. Nonlinear Modeling And Forecasting Of SSE Composite Index Return Rates Serie
3. Fractal Analysis Of The Shanghai Composite Index Yield And Fi-egarch (1,1)-m Model Of The Empirical Analysis
4. Macro Influencing Factors Of China's Corporate Bond Credit Spreads
5. Empirical Research. Csi Broad Market Index Return Distribution And The Risk Measure
6. A Research Of Shanghai Composite Index Return Rate Based On ARFIMA Model
7. The Portfolio System Based On The Industry Chain And Its Application
8. Study On Return-risk Relationship Of Portfolio Based On Investor Sentiment In Chinese Stock Market
9. Shanghai Composite Index Return Predictability Studies
10. Research On The Correlations Of China And The United States Stock Markets In The Opening Up Process Of China Capital Market
11. Asymmetry In Return And Volatilityspillover On A+H Crossing-List Stocks
12. Volatility And Its Policy Effects Of Chinese Low-carbon Index Return
13. A Comparative Study On The Performance Of CSI 300 Index And Fund Investment Based On The Almost Stochastic Dominance Method
14. Comparing The Performance Of IPOs And The Index On The Basis Of Mean-variance Model And Stochastic Dominance
15. Research Of The Tail Risk On The Rate Of Stock Index Return In Chinese Security Markets
16. Research On Stock Price Fluctuation And Its Influence Factors Of Agricultural Listed Companies
17. The Study Of Interactive Relationship Between Online Public Opinion And Stock Market Return
18. Study Of The Connectedness Between China's Gold Market And The Main International Gold Market Base On The Spillover Index
19. Industry Sentiment And Its Effect On Stock Returns
20. Empirical Analysis Of The Fluctuation Of The Shanghai Stock Index Return Rate Based On The ARMA-GARCH Models
  <<First  <Prev  Next>  Last>>  Jump to