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张勇
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概率论及其在统计、金融中的应用,主要包括概率极限理论,非参数估计,自正则极限理论,大偏差原理,抛物Anderson模型的性质
2006.9-2009.6
吉林大学数学研究所 |  博士研究生毕业 |  Doctoral degree
2003.9-2006.6
吉林大学数学研究所 |  硕士研究生毕业 |  Master's degree
1999.9-2003.6
吉林大学数学学院 |  UNDERGRADUATE EDUCATION |  Bachelor's degree
2016.9-Now
吉林大学数学学院 | 教授
2012.9-2016.9
吉林大学数学学院 | 副教授
2009.7-2012.9
吉林大学数学学院 | 讲师 | 讲师
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