1.
Behavior Model Based on Interaction of traders;

基于交易者相互作用的行为金融模型
2.
Fuzzy Sequence Pattern in Risk Sequences of the Financial Organizational System

金融机构系统风险排序模糊优序模型
3.
Finance Case Analysis Based on Transmissibility Function Model and GARCH Model;

基于传递函数模型和GARCH模型的金融实证分析
4.
The Networks Algorithm on Portfolio Model in Financial Engineering

金融工程中组合模型的神经网络算法
5.
Financial Volatility Models and Their Application in Chinese Stock Markets;

金融波动模型及其在中国股市的应用
6.
Research on Value at Risk in Measuring Financial Market Risk;

基于VaR模型的金融市场风险计量研究
7.
Measurement Method and Model of Financial Volatility with Application;

度量金融波动的方法和模型及其应用
8.
Wireless Financial Trade Model Technical (WFTM) Research Report;

无线金融交易模型(WFTM)技术研究
9.
An Research on CVaR Financial Risk Measurement Based on GARCH Model;

基于GARCH模型的CVaR金融风险测度研究
10.
Theoretical Model and Measurement Analysis of the Farmland Fiancial Institution;

农地金融制度理论模型经济计量分析
11.
VaR Model and Application in Financial Risks Measurement;

VaR模型及其在金融风险测量中的应用
12.
Fundamental Character Model Analysis for Regional Financial Environment;

区域金融生态系统基本性状模型研究
13.
Financial Engineering Model Computation Based on MATLAB;

基于MATLAB的金融工程模型计算
14.
A Bilateral Auction Model Based on Flowgate Right;

基于关口金融输电权的双边拍卖模型
15.
Financial asset crisis and FM-IS-LM general equilibrium model;

金融资产危机与FM-IS-LM一般均衡模型
16.
The Development of ACD Model and Its Application in Finance;

ACD模型的发展以及在金融中的应用
17.
Model Design about the Optimization Capital Stock Struction of the Finance Holding Company;
金融控股公司最优股本结构模型设计
18.
Analysis and Control of Chaos in a Financial Cournot Model;

一类金融古诺混沌模型的分析与控制