1.
Modeling and Analysis of the Problems on a Kind of Risk Asset Investment Make-up;
一类风险资产投资组合问题建模与分析
2.
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
3.
The Efficient Boundary of Portfolio Allowing Risk-free Asset Investment;
含无风险资产时组合投资的有效边界
4.
(The term portfolio means the collection of assets one owns.)
(“投资组合”这一术语指一个人拥有的资产的组合)。
5.
Empirical Research on REITs Portfolio Selection;
房地产投资基金投资组合策略实证研究
6.
Research on Real Estate Investment Portfolio Based on Enterprises Investment Strategy;
基于企业投资战略的房地产组合投资研究
7.
The Application of Modern Portfolio Theory to Real Estate Investment;
现代投资组合理论在房地产投资中的应用
8.
Application of Portfolio Theory in Risk Control of Real Estate Investment;
投资组合理论在房地产投资风险控制中的应用
9.
1. Portfolio Theory:
1. 投资组合概念:
10.
The Goal Program Model in Real Estate Investment of Bundling Business;
房地产投资项目组合的目标规划模型
11.
The portfolio investment model analysis of big size reale state corporation;
大型房地产企业组合投资的模型分析
12.
A study of the portfolio model of superior assets
具有优良资产的证券投资组合模型研究
13.
Risk Control Mechanism of Active Portfolio Investment with Tracking Error Constraints
跟踪误差下积极资产组合投资的风险约束机制
14.
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
15.
Research on Multiresolution Recognition of Risk and Portfolio for Financial Assets;
金融资产多分辨风险识别及投资组合策略
16.
Individual Educational Investment Risk and Selection of Educational Assets Organization;
个体教育投资风险与教育资产组合选择
17.
Utility Maximization of the Investment Portfolio with Risk-Free Assets;
无风险资产的投资组合效用最大化的模型研究
18.
Research on the Inflence of Asset Allocation and Industrial Share Selection in Portfolio Investment;
组合投资中类别资产配置和个股选择影响研究