Login 中文
Personal Profile
To be updated...
郭菊娥
Professor
Papers
估值调整协议下风险投资机构分阶段投资的风险控制策略研究
Release Time:2025-04-30 Hits:
Date:
2025-04-30
Title of Paper:
估值调整协议下风险投资机构分阶段投资的风险控制策略研究
Journal:
中国系统工程学会第十八届学术年会论文集——A10系统工程方法在金融、投资、保险业等领域的研究
Summary:
Co-author:
郭菊娥; 王智鑫; 郭广涛
Translation or Not:
No
Date of Publication:
2014-10-24

Prev One:中国城市群“圈层”结构对能源强度影响实证

Next One:Research on the energy-saving and revenue sharing strategy of ESCOs under the uncertainty of the value of Energy Performance Contracting Projects