| 1. | Gradual disclosure and risky asset pricing 阶段性信息披露和风险资产定价 |
| 2. | It prices risky assets in the real world 资本资产定价模型是在真实世界中给风险资产定价。 |
| 3. | A general pricing model for risk assets 风险资产的一般定价模型 |
| 4. | On multi - factor portfolio model with holding of risk - free assets allowed 允许持有无风险资产多因素投资组合模型研究 |
| 5. | Minimum risk asset ratio 最低风险资产比率 |
| 6. | Risk assets ratio 风险资产比率 |
| 7. | Allocation of invested funds between risk - free assets and the risky portfolio 是指投资基金在无风险资产与有风险资产组合之间的配置决策。 |
| 8. | Chapter 3 discusses the general financial market consist of only one basic risk asset and one risk - free asset 第三章讨论以十的风险资产作为基本资产的市场。 |
| 9. | He is best known for his research on the pricing of risky assets and the performance of equity trading strategies 陈教授研究范围包括风险资产管理证券交易策略。 |