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Time lag analysis between vegetation and climate change in Inner Mongolia.

, , , , and . IGARSS, page 1513-1516. IEEE, (2010)

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Multi-period mean-variance portfolio selection with stochastic interest rate and uncontrollable liability., , and . Eur. J. Oper. Res., 252 (3): 837-851 (2016)Mean-CVaR portfolio selection: A nonparametric estimation framework., , and . Comput. Oper. Res., 40 (4): 1014-1022 (2013)Optimal Dividend Strategy for a General Diffusion Process with Time-Inconsistent Preferences and Ruin Penalty., , and . SIAM J. Financial Math., 9 (1): 274-314 (2018)Domain Adaptation Learning Based on Structural Similarity Weighted Mean Discrepancy for Credit Risk Classification., , and . IEEE Intell. Syst., 35 (3): 41-51 (2020)An exact solution to a robust portfolio choice problem with multiple risk measures under ambiguous distribution., and . Math. Methods Oper. Res., 87 (2): 169-195 (2018)Optimal reinsurance and investment strategies for insurers with regime-switching and state-dependent utility function., and . J. Systems Science & Complexity, 29 (6): 1658-1682 (2016)Looking for Arbitrage or Term Structures in Frictional Markets., and . WINE, volume 3828 of Lecture Notes in Computer Science, page 612-621. Springer, (2005)Multi-period mean-variance portfolio selection with Markov regime switching and uncertain time-horizon., and . J. Systems Science & Complexity, 24 (1): 140-155 (2011)Equilibrium Dividend Strategy with Non-exponential Discounting in a Dual Model., , and . J. Optimization Theory and Applications, 168 (2): 699-722 (2016)On Computation of Arbitrage for Markets with Friction., , and . COCOON, volume 1858 of Lecture Notes in Computer Science, page 310-319. Springer, (2000)