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金融Vol.12 No.5, 全文下载: PDF HTML XML DOI:10.12677/FIN.2022.125058, September 26 2022
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唐丽蓉
金融Vol.13 No.3, 全文下载: PDF HTML XML DOI:10.12677/FIN.2023.133052, May 19 2023
可信性测度下基于均值–方差–VaR–偏度–正弦熵的模糊投资组合分析Fuzzy Portfolio Analysis Based on Mean-Variance-VaR-Skewness-Sine Entropy under Credibility Measure
于 轩
金融Vol.10 No.6, 全文下载: PDF HTML XML DOI:10.12677/FIN.2020.106058, November 24 2020
个股特质流动性风险与资产定价—基于中国A股市场的实证研究Idiosyncratic Liquidity Risk and Asset Pricing—An Empirical Research Based on Data of China’s Stock Market
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金融Vol.5 No.3, 全文下载: PDF HTML XML DOI:10.12677/FIN.2015.53007, July 3 2015
如何选择WACC法和APV法评估杠杆公司的市场价值How to Use WACC Method and APV Method to Evaluate the Market Value of Leveraged Companies
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金融Vol.10 No.1, 全文下载: PDF HTML XML DOI:10.12677/FIN.2020.101006, January 17 2020