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1.
The Research on the Combination of \;Risk and Riskless Investment;
有风险投资与无风险投资组合的研究
2.
The Influence on the Efficient Boundary and the Efficient Set of Portfolio Selection by the Risk free Investment
无风险投资对有效边界与有效投资组合的影响
3.
The Linear Programming Model for Portfolio Investment with Zero-risking Investment
无风险投资的证券组合投资线性规划模型
4.
The Estimation of a Semiparametric Model Based on the Risky and Riskless Assets
一种基于风险和无风险投资的半参统计模型的估计
5.
The Estimation of a Nonlinear Model Based on Risky and Riskless Assets
一种基于风险和无风险投资的非线性统计模型的估计
6.
The Review of "Venture Capital without Risks" Rebuilding the Corporation Governing Construction of Venture Capital in China;
“风险投资无风险”的反思——论我国风险投资组织模式再造
7.
In fact, investments are low risk, unsecured deposits.
其实,投资就是低风险,无保险存款。
8.
The Efficient Boundary of Portfolio Allowing Risk-free Asset Investment;
含无风险资产时组合投资的有效边界
9.
Allocation of invested funds between risk-free assets and the risky portfolio.
是指投资基金在无风险资产与有风险资产组合之间的配置决策。
10.
Two Kinds of Risk Investment of Human Capital,Investment Risks and the Risk Dispersion;
两种人力资本风险投资、投资风险及其风险分散
11.
Research on the Investment Risks and Investment Value of Venture Enterprises;
风险企业的投资风险与投资价值研究
12.
The Study of the Comprehensive Valuation of Investment Risks of Venture Investment Projects;
风险投资项目投资风险综合评价研究
13.
Risk control of generation company enterprise based on without-recourse financing method;
基于无追索融资方法的发电企业投资风险控制
14.
Utility Maximization of the Investment Portfolio with Risk-Free Assets;
无风险资产的投资组合效用最大化的模型研究
15.
The efficient frontier and optimal strategies of the mutual funds;
共同基金和无风险资产投资的最优策略
16.
Utility Maximizing of the Portfolio Include a Risk-Free Asset;
含无风险资产时投资组合的效用最大化
17.
Portfolio s Sensitivity Analysis with Riskless Asset;
存在无风险资产的投资组合灵敏度分析(英文)
18.
Portfolio s Sensitivity Analysis without Riskless Asset;
不存在无风险资产的投资组合灵敏度分析(英文)