Current position: Home >> Scientific Research >> Paper Publications

连续融资下信用风险的多因素预警监控方法

Release Time:2022-07-01  Hits:

Date of Publication: 2005-01-01

Journal: 系统工程

Issue: 11

Page Number: 95-101

ISSN: 1001-4098

Note: 新增回溯数据

Prev One:Optimal Model of Strip-and-roll Hedge based on the Min-variance(基于最小方差的系列展期套期保值优化模型)

Next One:银行产品创新的客户可用性测试模型及其实证研究