1.
The Optimization on the Mean Semi-absolute Portfolio Model Without Short Sales;
![点击朗读](/dictall/images/read.gif)
不允许卖空情况下均值-半方差投资组合优化研究
2.
The Optimization On the Mean Dynamic Downside Semi-Variance Multiperiod Portfolio Selection
均值-动态下半方差多阶段投资组合优化研究
3.
root - mean - square error
![点击朗读](/dictall/images/read.gif)
均方根[有效值]误差
4.
The variance is simply the average squared difference of all numbers from their mean or average value.
方差就是各个数的中值(或平均值)与各个数的差值的平方的平均值。
5.
The Value Analysis of Close-ended Fund Investment on the Basis of a New Method--Behavioral Mean Half Deviation Compound Earning Ratio Method;
基于一种新方法的封闭式基金投资价值分析——行为均值半离差复合收益率方法
6.
Mean-variance Hedging under Stochastic Interests;
![点击朗读](/dictall/images/read.gif)
随机利率下的均值-方差最小套期保值
7.
unbias(s)ed variance
![点击朗读](/dictall/images/read.gif)
无偏方差, 均方差
8.
Chance-constrained Mean-Semi-Absolute Deviation Portfolio Models
![点击朗读](/dictall/images/read.gif)
机会约束下的均值—半绝对离差投资组合模型
9.
Mean Square Error Approximation for Wavelet-Based Semiregular Mesh Compression;
![点击朗读](/dictall/images/read.gif)
基于小波半规则网格压缩均方误差的近似方法
10.
The Study on Mean-Variance Investment Problems in Incomplete Markets;
![点击朗读](/dictall/images/read.gif)
不完全市场中均值—方差投资问题研究
11.
The Average Value-variance Model on the Basis of MATLAB and EXCEL Tool;
![点击朗读](/dictall/images/read.gif)
基于MATLAB与EXCEL工具的均值-方差模型
12.
A Single-period Mean-variance Model of the Open Fund;
![点击朗读](/dictall/images/read.gif)
开放式基金的单阶段均值-方差模型
13.
The Optimization of the Portfolio Selection with the Restricted Short Sales;
![点击朗读](/dictall/images/read.gif)
限制性卖空的均值-方差投资组合优化
14.
Research on the Application of the Mean-variance Model with the Single-index Model
![点击朗读](/dictall/images/read.gif)
均值-方差模型与单指数模型的应用
15.
On the Mean Value and Variance of Distance Distribution of Non-linear Codes in GF(q)
![点击朗读](/dictall/images/read.gif)
GF(q)上非线性码的均值和方差
16.
RISK SHARING UNDER THE MEAN-VARIANCE EXPECTED UTILITY
![点击朗读](/dictall/images/read.gif)
均值-方差期望效用函数下的风险共担
17.
Returns covariance, the average of the products of paired deviations
![点击朗读](/dictall/images/read.gif)
返回协方差,即每对变量的偏差乘积的均值。
18.
Returns covariance, the average of the products of deviations for each data point pair in two data sets
返回协方差,即每对变量的偏差乘积的均值