过去40年发生多次金融危机之后,大多数理性的人开始接受这一观点:金融市场可以有泡沫。
After so many financial crises in the past 40 years most reasonable people would now accept that bubbles in asset markets can exist.
经典的金融学是构建在严谨的数理逻辑推理前提之上。
The Classical Finance is on the basic of the precise math discursion and the logical discursion.
这些金融风险度量方法都是以统计学、数理知识为主要的研究工具,结合实际的市场背景和经济意义来量化金融风险的。
These risk measurements set their bases on statistics and mathematical algorithms, combined with marketable movement. The main works of this paper are as follows: 1.
这些金融风险度量方法都是以统计学、数理知识为主要的研究工具,结合实际的市场背景和经济意义来量化金融风险的。
These risk measurements set their bases on statistics and mathematical algorithms, combined with marketable movement. The main works of this paper are as follows: 1.
应用推荐