1.
Portfolio Model of Future Investment

一类组合证券投资模型的演化与改进
2.
Securities Portfolio Selection Multi-model Decision Making Empirical Analysis;

证券组合投资多模型决策的实证分析
3.
Appraisal Model on the Stock Investment Based on Net Assets;

基于净资产的证券投资价值评估模型
4.
FUZZY NUMBERS OPTIONAL MODEL OF PORTFOLIO INVESTMENT AND METHOD FOR IT S SOLUTION;

模糊数证券组合投资选择模型与求解
5.
A Mean deviation Portfolio Optimal Selection Model

均值—离差型组合证券投资优化模型
6.
A Portfolio Selection Model Base on Investment Psychology;

基于投资心理建模的证券投资组合模型
7.
A Study on Time varying Portfolio Investment Decision on the Basis of the β value Portfolio Investment Decision Model
时变β值证券组合投资决策模型研究
8.
A Model of Risk-Minimization for Portfolio Investment

证券组合投资风险最小化模型的构建
9.
FUrther Study on Various Models of Portfolio

证券投资组合优化模型的进一步研究
10.
The Research on the Risk Measure and Porfolio Model for Investment;

风险度量与证券投资组合模型的研究
11.
Studies on the Modeling and Algorithm of Portfolio Optimization;

证券投资组合优化模型及其算法研究
12.
VaR Model and Securities Fund s Investment Risk Management in China;

VaR模型与我国证券投资基金风险管理
13.
Research on Interval Number Portfolio Inverstment Model;

基于区间数的证券组合投资模型研究
14.
Value-at-Risk Estimated by NGARCH Model for Chinese Stock Market;

NGARCH模型在证券投资风险分析中的应用
15.
VaR Model and Application to Securities Investment Management;

VaR模型及其在证券投资管理中的应用
16.
Transformed of Model and Optimal Solution of Portfolio Investment;

证券投资优化模型的改进和算法研究
17.
Study on the decision model of united investment of the securities market of China;

我国证券市场联合投资决策模型研究
18.
VaR-APARCH Model for Risk Measures of Stock Market;

VaR-APARCH模型与证券投资风险量化分析