PDF(205 KB)
基于动态CVaR模型的房地产组合投资的风险度量与控制策略
Systems Engineering - Theory & Practice ›› 2007, Vol. 27 ›› Issue (9) : 69-76.
PDF(205 KB)
PDF(205 KB)
| {{custom_ref.label}} |
{{custom_citation.content}}
{{custom_citation.annotation}}
|
/
| 〈 |
|
〉 |