金融危机前后国内外石油市场风险传导机制研究
刘明磊; 姬强; 范英
Source Publication数理统计与管理
Abstract摘要description; 英文摘要
2014
Funding Organization科技政策与管理所
Issue1Pages:42249
Contribution Rank产权排序
Department公共安全与管理科学研究部
URL查看原文
Language中文
Document Type期刊论文
Identifierhttp://ir.casisd.cn/handle/190111/6377
Collection中国科学院科技政策与管理科学研究所(1985年6月-2015年12月)
Recommended Citation
GB/T 7714
刘明磊,姬强,范英. 金融危机前后国内外石油市场风险传导机制研究[J]. 数理统计与管理,2014(1):42249.
APA 刘明磊,姬强,&范英.(2014).金融危机前后国内外石油市场风险传导机制研究.数理统计与管理(1),42249.
MLA 刘明磊,et al."金融危机前后国内外石油市场风险传导机制研究".数理统计与管理 .1(2014):42249.
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