机读格式显示(MARC)
- 010 __ |a 978-7-81122-106-0 |d CNY20.00
- 100 __ |a 20071126d em y0chiy0110 ea
- 200 1_ |a 中国资本市场风险与收益研究 |d Research on the relationship between risk and return in Chinese capital market |f 周宏著 |z eng
- 210 __ |a 大连 |c 东北财经大学出版社 |d 2007
- 300 __ |a 并列题名:Research on the relationship between risk and return in Chinese capital market
- 330 __ |a 本书对风险与收益之间的关系进行了较为系统、充分的研究,并对股票市场收益率的统计特征条件均值和条件方差之间的关系进行了一定的理论和实证研究。
- 510 1_ |a Research on the relationship between risk and return in Chinese capital market |z eng
- 606 0_ |a 资本市场 |x 风险管理 |x 研究 |y 中国
- 801 _0 |a CN |b SFT |c 20071126
- 905 __ |a GDPTC |d F832.5/83
- 995 __ |a SFT |f F832.5/83
- 999 __ |t C |A cqh |a 20071126 09:37:06 |M cqh |m 20071126 09:37:12 |G cqh |g 20071126 09:37:33