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参考文献
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黄鹂, 魏岩. 基于CVaR模型投资组合保险的绩效实证[J]. 金融理论与实践, 2015(4): 98-103.
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余星, 孙红果, 陈国华. 基于CVaR的融入期权的投资组合模型[J]. 数学的实践与认识, 2014(1): 11-14.
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