1.
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
2.
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
3.
1. Portfolio Theory:
1. 投资组合概念:
4.
total portfolio
有价证券(投资组合)合计
5.
diversification of the portfolio
投资组合的分散情况
6.
United Nations Panel on Foreign Investment
联合国外国投资小组
7.
5. Portfolio Performance Evaluatio
5. 投资组合绩效评估
8.
b. Managing Bond Portfolios
b. 债券投资组合管理
9.
Active Portfolio Strategy
积极性投资组合策略
10.
c. Optimal Risky Portfolios
c. 最适风险性投资组合
11.
Improving on the theory of markowitz s investment portfolio;
Markowitz投资组合模型的修正
12.
The Research on the Combination of \;Risk and Riskless Investment;
有风险投资与无风险投资组合的研究
13.
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
14.
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
15.
(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)。
16.
Study on Optimization Combination of Human Capital Investment of Chinese Enterprises;
中国企业人力资本投资优化组合研究
17.
Optimize Combination of Investment Based on QPSO Algorithm and Matlab;
基于QPSO和MATLAB优化资金投资组合
18.
The serious investor needs a proper 'portfolio',
认真的投资者需要一份正规的投资组合表,