1.
Discussion on the Capitalization Rate Determinedby Band-of-investment Method;
对复合投资收益率法确定资本化率的思考
2.
The Value Analysis of Close-ended Fund Investment on the Basis of a New Method--Behavioral Mean Half Deviation Compound Earning Ratio Method;
基于一种新方法的封闭式基金投资价值分析——行为均值半离差复合收益率方法
3.
A Study of Portfolio Index Based on Inverse Return Loss
基于收益率倒数损失的投资组合指标
4.
Model for portfolio selection with fuzzy return rates
带有模糊收益率的投资组合选择模型
5.
The Portfolio Study on Base of Conditioned VaR
条件收益率下的VaR投资组合研究
6.
lower-than-assumed real rate of return on investment
较假定实际收益率为低的投资收益率
7.
internal rate of return of incremental investment
差额投资内部收益率
8.
New Method of Interpolation for Internal Rate of Return and Pay Back Period;
内部收益率和投资回收期的内插值新算法
9.
OPTIMAL ANALYSIS METHOD FOR RETURN AND RISK OF PORTFOLIO
投资组合收益及风险分析的优化方法
10.
The genetic algorithms is used to solve the problem of the portfolio investment with expected rate of return under the condition of nonnegative constraints,and it is also applied to a six kind of stock investment problem.
讨论了非负约束条件下实现预期投资收益率的组合证券投资的遗传算法。
11.
The Portfolio Decision Model Based on Minimizing Risk to Return Ratio
单位收益率风险最小的组合证券投资决策模型
12.
Acquirement of Fuzzy Profit Rate and Decision for Optimal Portfolio
模糊收益率的获取及最优投资组合决策
13.
In this paper the return and risk of portfolio are analyzed.
文章首先分析了组合证券投资的收益率和风险。
14.
On Portfolio Problem Contained Fuzzy Profit Rate
收益率为模糊数的投资组合问题的讨论
15.
Portfolio Investment Model with Nonormal Distribution Return Rate;
收益率服从非正态分布的组合投资选择模型
16.
A Portfolio Selection Model within the Framework of Fractal Distribution of Capital Returns;
收益率分形分布下的一种组合投资模型
17.
There are two approaches to measure their performance: return on investment (ROI) and residual income (RI).
衡量其绩效有两种方法:投资报酬率和剩余收益。
18.
An Analysis for the Improvement of Delta IRR Method;
差额投资内部收益率法的问题剖析与改进