1.
A Decision-making Model of VC Portfolio Size affected by Tax Policy
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税收影响下的创业投资组合规模的决策模型研究
2.
Portfolio Selection Model Based on Fuzzy Chance-constrainned Programming;
![点击朗读](/dictall/images/read.gif)
模糊机会约束规划下的投资组合模型
3.
The Linear Programming Model for Portfolio Investment with Zero-risking Investment
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含无风险投资的证券组合投资线性规划模型
4.
Multi-objected Investment Combination Model Base on Quadratic Programming;
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基于二次规划的多目标投资组合模型
5.
The Goal Program Model in Real Estate Investment of Bundling Business;
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房地产投资项目组合的目标规划模型
6.
An Integral Programming Model of Portfolio Selection with Probability Criterion;
![点击朗读](/dictall/images/read.gif)
概率准则下组合投资的整数规划模型
7.
A Study of Portfolio Selection Model Based on Fuzzy Chanceconstrained Programming;
![点击朗读](/dictall/images/read.gif)
模糊机会约束规划下的投资组合模型研究
8.
A Genetic Algorithm for Fractional Programming Fuzzy Portfolio Selection Model
![点击朗读](/dictall/images/read.gif)
分式规划模糊投资组合模型的遗传算法求解
9.
On non linear recursive programming approach of dynamic portfolio investment
![点击朗读](/dictall/images/read.gif)
动态组合证券投资决策非线性递推规划模型
10.
Research on multiobjective portfolio selection model based on evolutionary programming
![点击朗读](/dictall/images/read.gif)
基于进化规划的多目标投资组合选择模型研究
11.
A Kind of Fuzzy Multiple Objective Programming Method for Portfolio Investment
![点击朗读](/dictall/images/read.gif)
一种证券组合投资的模糊多目标规划方法
12.
Application of development programming model in combination investment;
![点击朗读](/dictall/images/read.gif)
动态规划模型在“组合投资”理论中的应用
13.
Optimal Portfolio Choice Model Based On Regret Aversion and Empirical Studies;
![点击朗读](/dictall/images/read.gif)
基于后悔规避的投资组合模型及其实证分析
14.
Optimal Portfolio Choice Model Based On Loss Aversion;
![点击朗读](/dictall/images/read.gif)
考虑损失规避的期望效用投资组合模型
15.
Goal-Programming Model of Portfolio Investment with Typical Transaction Cost and Its Solution;
组合投资问题的目标规划模型及其求解
16.
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
17.
Interval Number Linear Programming Model of Portfolio Investment;
![点击朗读](/dictall/images/read.gif)
证券组合投资的多目标区间数线性规划模型
18.
Research on investment portfolio risk and optimization scale under financial networks;
![点击朗读](/dictall/images/read.gif)
金融网络下投资组合风险及最优规模研究