证券市场波动与经济稳定的关系与风险防控机制探究Exploring the Relationship between Securities Market Fluctuation and Economic Stability and Risk Prevention and Control Mechanism
荣思芸, 吴 英
世界经济探索Vol.12 No.4, 全文下载: PDF HTML XML DOI:10.12677/WER.2023.124045, December 12 2023
“融资信托”的私法构造与公法监管——再访“资产证券化” Private Law Construction and Public Law Regulation of “Financing Trusts”—Revisiting “Asset-Backed Securities”
黄一峰
争议解决Vol.9 No.1, 全文下载: PDF HTML XML DOI:10.12677/DS.2023.91024, January 19 2023
理性预期理论在证券投资中的运用研究On the Application of the Expectations The-ory in Portfolio Investment
冯登艳, 高中良
金融Vol.13 No.4, 全文下载: PDF HTML XML DOI:10.12677/FIN.2023.134094, July 28 2023
基于VAR模型的绿色债券收益率影响因素分析Analysis of the Influencing Factors of Green Bond Yield Based on VAR Model
李佳琪, 王传会 国家社会科学基金支持
统计学与应用Vol.12 No.2, 全文下载: PDF HTML XML DOI:10.12677/SA.2023.122056, April 29 2023
我国资产证券化风险及防范研究Research on Asset Securitization Risk and Prevention in China
涂孟梅, 李善民
金融Vol.12 No.5, 全文下载: PDF HTML XML DOI:10.12677/FIN.2022.125057, September 26 2022
资产证券化的动因与经济效应文献综述A Literature Review of the Motivations and Economic Effects of Asset Securitization
易彩云, 郑 珑
金融Vol.14 No.3, 全文下载: PDF HTML XML DOI:10.12677/fin.2024.143120, May 31 2024