1.
An empirical research on the relationship between size and return of allocation open-end funds in China;
我国配置型开放式基金规模与回报关系的实证研究
2.
The Research on Major Components Collocation of Securities Investment Strategy and Rating System of Open-end Funds in China;
我国开放式基金证券投资策略中的权重股配置及基金评级研究
3.
Liquidity Risk, Open-end Funds, and Assets Allocation;

基于流动性风险的开放式基金资产配置比例研究
4.
On Impacts of Asset Allocation to Yield Fluctuations of Open-end Fund;

资产配置因素对我国开放式基金收益波动的影响分析
5.
Research on Cutting Parameters Optimization based on the Open Platform for Constraints Configuration
基于开放式约束配置平台的车削参数优化研究
6.
Model and Empirical Research on Open-end Fund Performance Evaluation;

开放式基金绩效评价模型及实证研究
7.
Research on Performance Estimation System of Stock Open-end Fund;

股票型开放式基金业绩评价体系研究
8.
A Single-period Mean-variance Model of the Open Fund;

开放式基金的单阶段均值-方差模型
9.
On the Optimal Size of Chinese Open-ended Stock Fund;

我国偏股型开放式基金合理规模分析
10.
Research on the Model of Risk Measurement in China's Open-end Fund Market

我国开放式基金的风险度量模型研究
11.
The Empirical Study on Redemption Risk of Equity Open-ended Funds in China Based on the Two-Stage Panel Data Model
我国股票型开放式基金赎回风险研究
12.
Performance Evaluation Model of Open-End Fund Based on Behavioral Finance;

基于行为金融的开放式基金绩效评价模型
13.
The Study of China s Open-end Fund Market Volatility by GARCH Models;

基于GARCH模型的我国开放式基金市场波动性研究
14.
The Evaluation of Open-End Fund Performance in China Based on Arbitrage Pricing Model;

基于APT模型的我国开放式基金业绩评价
15.
Calculate the Risk of Var-model Open-end Funds;

基于Var模型的开放式基金风险计量研究
16.
Redemption risk controlling model of open-end funds based on BSDE

基于BSDE的开放式基金赎回风险控制模型
17.
The Model and Application of VaR in the Risk Evaluation of Open Foundation;

VaR模型及其在开放式基金风险评估中的应用
18.
A Study on Tracking Error of ETF in China;

我国交易型开放式指数基金(ETF)跟踪误差的研究