• Insurance Actuarial theory is a analysis and forecast subject to all kinds risk of insurance industry by mathematics, probability statistics methods and finance models.

    保险精算学运用数学概率统计学原理以及多种金融模型保险业各种风险因素进行分析预测学科

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  • In the study of continuous time finance market modeling, the theory and methods of stochastics have been one of important research tools.

    连续时间金融市场模型研究中,随机理论方法已成为重要研究手段之一

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  • The traditional finance theory is based on EMH and CAPM, but the models and methods are confined to the frame of rationality ignoring the analysis of investor's actual decision behaviour.

    传统金融理论建立有效市场假说(emh)资本资产定价模型(CAPM)两大基石之上,模型和范式局限在“理性分析框架中,忽视了对投资者实际决策行为的分析。

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  • The traditional finance theory is based on EMH and CAPM, but the models and methods are confined to the frame of rationality ignoring the analysis of investor's actual decision behaviour.

    传统金融理论建立有效市场假说(emh)资本资产定价模型(CAPM)两大基石之上,模型和范式局限在“理性分析框架中,忽视了对投资者实际决策行为的分析。

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