VaR模型及其在创业投资风险管理中的应用——基于创业板指数的实证研究

Publisher: 国家哲学社会科学学术期刊数据库

E-ISSN: 1673-1751|11|4|82-87

ISSN: 1673-1751

Source: 河南工业大学学报:社会科学版, Vol.11, Iss.4, 2015-01, pp. : 82-87

Disclaimer: Any content in publications that violate the sovereignty, the constitution or regulations of the PRC is not accepted or approved by CNPIEC.

Previous Menu Next

Abstract