金融证券组合模型理论分析 Theoretical Analysis of Financial Portfolio Model
王鑫罡, 岳上植
服务科学和管理Vol.2 No.3B, 全文下载: PDF DOI:10.12677/SSEM.2012.23B001, November 25 2013
金融科技背景下金融风险与金融监管研究Research on Financial Risk and Financial Supervision under the Background of Financial Science and Technology
赵金汭, 赵丽泽
金融Vol.9 No.3, 全文下载: PDF HTML XML DOI:10.12677/FIN.2019.93017, April 30 2019
融资融券规模,投资者情绪和股票崩盘风险Margin Trading Scale, Investor Sentiment and Stock Market Crash Risk
杨海玲
运筹与模糊学Vol.13 No.4, 全文下载: PDF HTML XML DOI:10.12677/ORF.2023.134410, August 22 2023
实体企业金融化与债务融资成本——基于沪深两市制造业企业的实证分析Financialization of Entity Enterprises and the Cost of Debt Financing—Research Based on Manufacturing Enterprises in Shanghai and Shenzhen Stock Markets
雷 研
金融Vol.14 No.2, 全文下载: PDF HTML XML DOI:10.12677/FIN.2024.142047, March 15 2024
基于深度学习对金融证券市场股票价格和风险问题的研究Research on Stock Price and Risk in Financial Securities Market Based on Deep Learning
杨 涛, 马艳雨
电子商务评论Vol.13 No.2, 全文下载: PDF HTML XML DOI:10.12677/ecl.2024.132216, May 20 2024
重庆市碳金融交易市场风险评估——基于GARCH-VaR模型Chongqing Carbon Finance Trading Market Risk Assessment—Based on the GARCH-VaR Model
宋文静, 杜汪珏, 么玉方, 阳 芹
统计学与应用Vol.11 No.3, 全文下载: PDF HTML XML DOI:10.12677/SA.2022.113050, June 7 2022