| 1. | Macrocontrol investment based on reality 论现实基础上的投资宏观调控手段 |
| 2. | Risk decision of project investment based on bayes method 基于贝叶斯方法的项目投资风险决策 |
| 3. | Measuring the risk of stock investment based on the aparch model 模型在证券投资风险分析中的应用 |
| 4. | The tactical analysis of investment based on behavioral finance theory 基于行为金融理论的投资策略分析 |
| 5. | Game analysis and risk management of r amp; d investment based on risk level 投资行为博弈分析与风险管理 |
| 6. | The strategy of portfolio investment based on h control with state feedback 状态反馈控制的证券组合投资策略 |
| 7. | The research of portfolio investment based on simulated annealing 基于模拟退火算法的证券投资最优组合理论研究 |
| 8. | On decision of real estate investment based on option game theory 基于期权博弈的双寡头房地产市场投资决策研究 |
| 9. | Research on portfolio investment based on the expectation of logarithm - entropy model 熵模型的证券组合投资研究 |
| 10. | Risk dicision - making of thermal power plant investment based on utility function 基于效用函数的火电厂投资风险决策 |