风险管理和金融衍生品外文文献翻译(节选)
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1、1200单词, 7200英文字符 ,2000汉字 文献出处: Hammoudeh S, McAleer M. Risk management and financial derivatives: An overviewJ. The North American Journal of Economics and Finance, 2013, 25: 109-115. http:/w ww.w AFC3D.html 原文 Risk management and financial derivatives:An overview Shawkat ; Michael Abstract Risk ma
2、nagement is crucial for optimal portfolio management. One of the fastest growing areas in empirical finance is the expansion of financial derivatives. The purpose of this special issue on “Risk Management and Financial Derivatives” is to highlight some areas in which novel econometric, financial eco
3、nometric and empirical finance methods have contributed significantly to the analysis of risk management, with an emphasis on financial derivatives, specifically conditional correlations and volatility spillovers between crude oil and stock index returns, pricing exotic options using the Wang transf
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- 风险 管理 以及 金融 衍生 外文 文献 翻译 节选
