1.
An analysis on the relationship between portfolio value and its return process in multiperiod securities market;
浅析多时期证券投资组合价值与其收益的关系
2.
Multiperiod portfolio policy under transaction costs
考虑交易费用的多时期组合证券投资策略研究
3.
Multi-Period Portfolio Selection Model Under the Safety First Criteria
安全第一准则下的多期证券组合投资模型
4.
Securities Portfolio Selection Multi-model Decision Making Empirical Analysis;
证券组合投资多模型决策的实证分析
5.
investment portfolio: Portfolio of longer-term investments.
"投资证券组合,指作长期投资的证券组合。参见 trading portfolio"
6.
total portfolio
有价证券(投资组合)合计
7.
A Study on Time varying Portfolio Investment Decision on the Basis of the β value Portfolio Investment Decision Model
时变β值证券组合投资决策模型研究
8.
Research on portfolio investment based on the expectation of logarithm-entropy model;
基于对数期望-熵模型的证券组合投资研究
9.
The Thinking about how to Use the Security -Option Portfolio to Decrease the Risk of Invest;
关于利用证券-期权组合降低投资风险的思考
10.
GMDHTwolevel Algorithm Security CombinatorialInvestment Prospective Proceeds Model;
GMDH两水平算法的证券组合投资预期收益模型
11.
Multi-factor Model for Portfolio Investment Decision Based on Genetic Algorithm
基于遗传算法的多因素证券组合投资决策模型
12.
A Kind of Fuzzy Multiple Objective Programming Method for Portfolio Investment
一种证券组合投资的模糊多目标规划方法
13.
The Optimization Model of Investment Portfolio for Multi-Conditions and Applications
多种环境下的证券投资组合优化及其应用
14.
Application of Grey Multi-objective Optimization Model on Portfolio;
灰色多目标优化模型在证券投资组合中的应用
15.
Multiple Objectives Programming Model for Portfolio Investment Based on Genetic Algorithm;
遗传算法求解多目标规划证券投资组合模型
16.
Interval Number Linear Programming Model of Portfolio Investment;
证券组合投资的多目标区间数线性规划模型
17.
Determination of Investment Portfolio of Various Securities by Using Lagrange Conditioned Extreme Value;
用拉格朗日条件极值求多种证券投资最优组合
18.
A Weighted Integrated Approach for Optimal Strategy of Multiattribute Securities Portfolio;
多因素证券组合投资最优决策的加权集成方法