共 14 条
[3]
投资学[M]. 机械工业出版社 , (美)滋维·博迪(ZviBodie),(美)亚历克斯·凯恩(AlexKane),(美)艾伦J.马库斯(AlanJ.Marcus)著, 2005
[4]
投资组合理论与资本市场[M]. 机械工业出版社 , (美)威廉F.夏普(WilliamF.Sharpe)著, 2001
[5]
演进着的信用风险管理[M]. 机械工业出版社 , (美)约翰·B.考埃特(JohnB.Caouette)等著, 2001
[6]
数理金融经济学[M]. 北京大学出版社 , 王一鸣编著, 2000
[7]
A multi-factor, credit migration model for sovereign and corporate debts[J] . Jason Z. Wei.Journal of International Money and Finance . 2003 (5)
[8]
Increasingly mean-seeking utility functions and n -asset portfolios[J] . Gregory M Gelles,Douglas W Mitchell.Quarterly Review of Economics and Finance . 2002 (5)
[9]
The aggregate credit spread and the business cycle[J] . Debashis Guha,Lorene Hiris.International Review of Financial Analysis . 2002 (2)
[10]
Tail estimation and mean–VaR portfolio selection in markets subject to financial instability[J] . Giorgio Consigli.Journal of Banking and Finance . 2002 (7)