1.
Behavioral Portfolio Model Based on the Perceived Risk Value;
基于认知风险价值的行为证券组合模型
2.
Study on Portfolio Risk Management Based on Behavioral Finance
基于行为金融的证券组合风险管理研究
3.
The Relation between Standard Finance and Behavior Finance in Portfolio
标准金融和行为金融在证券组合中的关系
4.
A Possible Method of Portfolio Insurance in China
组合证券保险在我国的一种可行方法
5.
total portfolio
有价证券(投资组合)合计
6.
Parallel genetic algorithm in the Portfolio Investment
并行遗传算法在证券投资组合中的应用
7.
Weighted portfolio selection for return rate with fuzzy number
收益率为模糊数的加权证券组合选择模型
8.
Acts that Influence the Prices of Securities:Legal, Illegal or Criminal
影响证券交易价格行为:合法、违法与犯罪之间
9.
Dynamic Analysis of the Effects from Newly Increased Security on Portfolio Frontier
新增证券对证券组合有效前沿影响的动态分析
10.
Influence on the Efficient Frontier of Portfolio with Decreasing Securities Number;
证券数减少对证券组合有效前沿的影响
11.
To add margin to(a stock portfolio).
给(一个组合证券)注入保证金
12.
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
13.
Fixed income funds invest in some combination of treasury bills, debentures, bonds, and mortgages.
固定收入基金投资一些国库券、府债券、业债券和抵押证券的组合。
14.
Short Selling and Optimal Portfolio Selection ──Multigroup Models
卖空与最优证券组合的选择──多组模型
15.
FIBV General Rules of Securities Business
国际证券交易所协会的证券业务行为通则
16.
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"
17.
Benchmark-Adjusted Portfolio Choices;
使用基准证券组合调整的证券组合投资决策方法
18.
Research of Behaviors of Security Investment Based on Behavioral Finance;
基于行为金融学的证券投资行为研究