[1] A Linear Programming Approximation for the General Portfolio Analysis Problem
[2] Bank Capital Adequacy, Deposit Insurance and Security Values
[3] Budgeting and Monitoring Pension Fund Risk
[4] Business Finance- Innovations in Analysis- Discussion
[5] Capital Asset Prices- A Theory of Market Equilibrium under Conditions of Risk
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[此贴子已经被作者于2008-12-11 3:32:21编辑过]


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