1.
FUrther Study on Various Models of Portfolio
证券投资组合优化模型的进一步研究
2.
Applications of VaR and CVaR in the Portfolio Theory;
VaR和CVaR在证券投资组合决策中的应用
3.
The Research on the Risk Measure and Porfolio Model for Investment;
风险度量与证券投资组合模型的研究
4.
Studies on the Modeling and Algorithm of Portfolio Optimization;
证券投资组合优化模型及其算法研究
5.
The Application of Financial Market Risk Measurement and Modern Portfolio Theory Based an Copula and EVT;
证券投资组合的市场风险度量与优化
6.
On Analysis of Risk and Yield of Combinations of Present Stock Investment;
现代证券投资组合的收益与风险分析
7.
The Application of Computation Intelligence in Portfolio Investment Problems;
论计算智能在证券投资组合中的作用
8.
total portfolio
有价证券(投资组合)合计
9.
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
10.
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"
11.
Research on the Combinational Strategies of Conventional Assets of Security Investment Fund;
证券投资基金传统投资资产组合策略研究
12.
My stockbroker manages my portfolio for me.
我的证券经纪人替我管理投资组合.
13.
The Research on Price and Trade Volume Analysis in Dynamic Portfolio Investment
动态证券组合投资的价量关系研究
14.
An Analysis on the Gains and Risks of International Portfolio
国际证券组合投资的收益与风险分析
15.
Risk Composition and Mathematical Analysis of Portfolio Investment
组合证券投资的风险构成与数理分析
16.
The Quantitative Analysis of the Return and the Risk of Portfolio Investment
证券组合投资收益和风险的量化分析
17.
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
18.
A Mean deviation Portfolio Optimal Selection Model
均值—离差型组合证券投资优化模型