Li Yan Han

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List of research outcomes

This list is not complete and representing at the moment only items from zbMATH Open and arXiv. We are working on additional sources - please check back here soon!

PublicationDate of PublicationType
Normal mixture method for stock daily returns over different sub-periods
Communications in Statistics. Simulation and Computation
2022-07-01Paper
Evolutionary patterns of onshore and offshore renminbi exchange rates with convexity-concavity indicators
Quantitative Finance
2022-04-05Paper
Macroeconomic impacts on commodity prices: China vs. the United States
Quantitative Finance
2021-07-16Paper
Does targeted poverty alleviation disclosure improve stock performance?
Economics Letters
2021-03-29Paper
Systemic risk and dynamics of contagion: a duplex inter-bank network
Quantitative Finance
2018-11-19Paper
Dynamic hedging strategy based on long-term investment perspective: crude oil futures portfolio for case analysis
 
2018-01-29Paper
Forecasting of corporate default risk based on fuzzy statistics
Fuzzy Systems and Mathematics
2016-03-15Paper
Generalized form and distribution properties of \(\lambda\)-fuzzy measure
Fuzzy Systems and Mathematics
2016-03-15Paper
Risk management for international portfolios with basket options: A multi-stage stochastic programming approach
Journal of Systems Science and Complexity
2016-03-10Paper
A mean-CVaR-skewness portfolio optimization model based on asymmetric Laplace distribution
Annals of Operations Research
2015-04-23Paper
Divergence measure between the probability distributions based on moments
 
2014-06-30Paper
Options strategies for international portfolios with overall risk management via multi-stage stochastic programming
Annals of Operations Research
2013-09-03Paper
Cash flow at risk based on bootstrap simulation and generalized Pareto distribution
 
2011-07-19Paper
Heterogeneity and portfolio choice
 
2009-11-11Paper
scientific article; zbMATH DE number 5504949 (Why is no real title available?)
 
2009-02-09Paper
Fuzzy options with application to default risk analysis for municipal bonds in China
Nonlinear Analysis. Theory, Methods & Applications. Series A: Theory and Methods
2009-02-04Paper
scientific article; zbMATH DE number 5026956 (Why is no real title available?)
 
2006-05-26Paper


Research outcomes over time


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