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

基于M-vector方法商业银行控制利率风险的资产负债组合优化模型

Release Time:2019-03-12  Hits:

Indexed by: Journal Article

Date of Publication: 2017-01-01

Journal: 经济纵横

Included Journals: PKU

Issue: 6

Page Number: 52-62

Prev One:出口产品的异质性与国家经济复杂度演化基于反射法测算的国家经济复杂度指数. .年月:

Next One:The Characteristics of Industrial Firms' R&D Investment Structure Based on the Comparison of Worldwide Firm-level Data