1.
On the control of system risk in China’s stock market during the transitional period;

论转型期中国股市制度性风险及其控制
2.
System Risk and Its Control in the Stock Market in Our Country s Mainland;

我国大陆股票市场制度性风险及其控制
3.
Foreign Capital Purchasing Shares in China City Commercial Banks: Institution and Risk;

外资参股城市商业银行:制度与风险
4.
Liquidity Risk Measurement in China's Stock Market--LVaR

中国股市流动性风险的度量——LVaR研究
5.
On the Institutional Innovation and Risk Control of Stock Futures Market in China;

论中国股指期货市场的制度创新与风险控制
6.
Stock Index Futures market s risk analysis and risk control;

股指期货市场的风险分析及风险控制
7.
The Research on Liquidity Risk Measurement in Stock Market;

股票市场流动性风险度量方法及其实证研究
8.
The interest and risk control caused by insurance fundinvested in the share market;

保险资金投资股市的利益与风险控制
9.
The Application of SV Model to Measuring Risks in Chinese Stock Market;

SV模型在我国股市风险度量中的应用
10.
Measuring VaR and ES of Stock Market;

股市风险VaR与ES的动态度量与分析
11.
A NEW INDEX FOR STOCK MARKET RISK MEASUREMENT AND ITS APPLICATIONS;

一种新的股市风险度量指标及其应用
12.
Study on Risk Measurement in Chinese Stock Market Based on EGARCH-GED Model

基于EGARCH-GED模型下的股市风险测度研究
13.
Systemic risk \ Moral risk and Deposit Insurance System;

系统性风险、道德风险与存款保险制度
14.
Estimation of Time-varying Betas under Price Limits and the Systematic Risk of Chinese Stock Market;
涨跌停制度下时间变动Beta的估计——兼对中国股市系统风险的分析
15.
Study on Security Market in the Period of the Share Merger Reform Based on Institution and Risks;
基于制度和风险视角的股权分置改革时期证券市场研究
16.
Econometric Study on Volatility of Stock Market, Dynamic Transmission and Risk Mechanism;

股票市场波动性、传导机制与风险机制的计量研究
17.
Risk Measurement and Its Volatility Research Based on CAViaR Method in Chinese Stock Market;
基于CAViaR方法的我国股票市场风险度量及波动性研究
18.
Application of La-VaR Model in the Liquidity Risk Measurement of China's Stock Market

La-VaR模型在我国股票市场流动性风险度量中的应用