1.
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
2.
The CAPM theory expatiate impetus that the foreign securities capital invest in other countries;
资产组合选择理论阐述了国际证券资本跨境投资的动力源泉;
3.
total portfolio
有价证券(投资组合)合计
4.
A Probe to Margin Analysis of Portfolio Investment Assets Allocation
组合证券投资资产配置的边际分析法初探
5.
Continuous-Time Mean-Variance Portfolio Selection in International Security Markets;
国际证券市场中连续时间的均值—方差投资组合选择问题
6.
One Kind of Optimal International Security Investment Portfolio and Consumption Choice Problem;
一类国际证券投资组合和消费选择的最优控制问题(英文)
7.
An Optimal Control Problem on Portfolio and Consumption Choice in International Security Market;
一类国际证券投资组合及消费选择的最优控制问题
8.
Development of Portfolio Theory in Cross-border Securities Investments
投资组合理论在跨国证券投资领域的拓展
9.
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。
10.
Building of the Appropriate Portfolio Theory in Chinese Securities Market;
适合我国证券市场投资组合模型的构建
11.
The Application of Portfolio Theory in Equity Mutual Fund and Verification;
投资组合理论在我国证券投资基金中的应用及实证研究
12.
The Research of Risk Management and Optimization Model of the Portfolio in China s Stock Market;
我国证券市场投资组合风险管理优化模型研究
13.
A Study on Portfolio Optimize in the China s Stock Market;
中国证券市场的最优投资组合选择研究
14.
Research on Strategy of Marketing Mix of Open-end Fund in China;
我国开放式证券投资基金的营销组合策略研究
15.
The Application and its Model Development of Securities Investment Combination Theory in our Country;
证券投资组合理论在我国的应用及其模型拓展
16.
Discussing on the Utilization of the Theory of Securities Investment Risk Measurement in China;
浅析证券投资组合风险计量理论在我国的运用
17.
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
18.
An Analysis of the Portfolio Managnment ofChina s Investment Funds of Securities;
对我国证券投资基金组合理财的分析思考