過(guò)去20年衍生資產(chǎn)的激增是史無(wú)前例的。隨著衍生產(chǎn)品的增長(zhǎng),金融機(jī)構(gòu)、機(jī)構(gòu)投資者和公司需要使用復(fù)雜的定量技術(shù)來(lái)充分利用這些新金融工具的范圍。學(xué)術(shù)研究對(duì)我們對(duì)衍生資產(chǎn)和市場(chǎng)的理解作出了重大貢獻(xiàn)。衍生資產(chǎn)市場(chǎng)的增長(zhǎng)伴隨著科學(xué)研究量的相應(yīng)增長(zhǎng)。
The proliferation of derivative assets during the past two decades is unprecedented. With this growth in derivatives comes the need for financial institutions, institutional investors, and corporations to use sophisticated quantitative techniques to take full advantage of the spectrum of these new financial instruments. Academic research has significantly contributed to our understanding of derivative assets and markets. The growth of derivative asset markets has been accompanied by a commensurate growth in the volume of scientific research.
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