CEV模型下具有违约风险和保费返还条款的DC养老金计划均衡投资策略

Equilibrium investment strategy for DC pension plan with default risk and return of premiums clauses under CEV model

Insurance Mathematics and Economics · 2016
被引 67 · 同刊同年前 2%
ABS 3
养老金金融经济学投资组合随机波动率精算科学