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李昆遠
Overview
Works:
2 works in 0 publications in 0 languages
Titles
極端情境存在之投資組合風險評估模型研究 = = Risk Measuring Models for Investment Portfolio under Consideration of Extreme Scenarios : A Case Study of U. S. A. Biotech Companies' Stock Investment Portfolio : 以美國生技類股股票為例 /
by: 李昆遠
(Language materials, printed)
Subjects
回溯測試
直交門檻一般化自我迴歸條件異質變異數
指數加權移動平均法
雪費多重比較法
灰預測
熵測度
風險值
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