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1.
Improving on the theory of markowitz s investment portfolio;
Markowitz投资组合模型的修正
2.
Markowitz s Portfolio Selections Based on Genetic Algorithm;
Markowitz投资组合模型的遗传算法求解
3.
The Active Set Method to Markowitz s Portfolio Investment Decision Model;
Markowitz s证券组合投资决策模型的有效集解法
4.
Markowitz Capital Investment Combination Model Easy Algorithm Based on Protrusion Analysis;
Markowitz资产投资组合模型的凸二次规划快速求解算法
5.
THE APPLICATION OF ACTIVE SET METHOD TO WEIGHT COEFFICIENTS OF MARKOWITZ S PORTFOLIO INVESTMENT MODEL;
有效集法在确定Markowitz s证券组合投资模型权系数中的应用
6.
Research on the theory and confirmation of Markowits investment combination;
Markowitz投资组合理论与实证研究
7.
Theoretical and Empirical Studies on Diversification of Risk of Markowitz s Portfolio Based on Fuzzy Probability;
基于模糊概率的Markowitz投资组合分散风险的理论及实证研究
8.
Efficient application of markowitz portfolio theory in security market of China;
Markowitz投资组合理论在中国证券市场的应用
9.
The Application of Portfolio Theory to Compound Arbitrage;
Markowitz资产组合理论在复合套期保值中的应用
10.
The Error of Portfolio Frontier and Portfolio Model Gathering of Hypo-optimum;
投资组合前沿误差及次优投资组合模型集
11.
A Portfolio Selection Model Base on Investment Psychology;
基于投资心理建模的证券投资组合模型
12.
STUDY ON OPTIMAL MODEL ABOUT PORTFOLIO INVESTMENT OF VENTURE CAPITAL;
风险资本的组合投资最优化模型研究
13.
Fuzzy Two-Stage Algorithm for a Category of Portfolio Selection Model;
一类投资组合模型的模糊两阶段算法
14.
Portfolio Selection Model Based on Fuzzy Chance-constrainned Programming;
模糊机会约束规划下的投资组合模型
15.
A Decision-Making Analog-model for Controlling Risks in a Portfolio;
组合投资风险控制决策模拟模型研究
16.
FUZZY NUMBERS OPTIONAL MODEL OF PORTFOLIO INVESTMENT AND METHOD FOR IT S SOLUTION;
模糊数证券组合投资选择模型与求解
17.
Model for portfolio selection with fuzzy return rates
带有模糊收益率的投资组合选择模型
18.
A Mean deviation Portfolio Optimal Selection Model
均值—离差型组合证券投资优化模型