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1.
A Portfolio Model with Exponential Weighted Index and Transaction Costs
具有指数赋权指标及交易费的资产组合模型
2.
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
3.
A Study on Optimal Multiperiod Portfolio Choice
多期最优资产组合选择模型分析研究
4.
A Multi-Cycle Dynamic Programming Optimization Model of Portfolio
资产组合的多周期动态规划优化模型
5.
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
6.
Generation Asset Optimal Portfolio Allocation Based on Worst-case CVaR
电力资产分配的WCVaR最优组合模型研究
7.
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
8.
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
9.
Application of Multivariate Factor-GARCH Model in the Decision-making of Portfolio
因子多元GARCH模型在资产组合投资决策中的应用
10.
Assets and Tail Risk Allocation by Mean-CVaR Model;
Mean-CVaR模型下的资产组合和破产风险控制
11.
The Studing on the Fuzzy Optimization Models of Portfolio Selection
组合证券资产选择模糊最优化模型研究
12.
Discussion on the solution of portfolio decision model in fuzzy environment
模糊环境下资产组合决策模型解的讨论
13.
Fuzzy prediction model and its application in bank credit assets combination;
模糊策略下的银行信贷资产最优化组合模型
14.
Mixed Investment Model of Real Estate and Security;
不动产项目与证券的混合投资组合模型
15.
A Computing Method for Solving Mean-absolute Deviation Portfolio Selection Model
均值绝对偏差资产组合选择模型的算法
16.
A Portfolio Optimization Model of Banking Based on the Adjusted Credit Risk
基于信用风险修正的银行资产组合优化模型
17.
Pivoting Algorithm for Markowitz Portfolio Selection Model
马科维兹资产组合选择模型的旋转算法
18.
Characteristics of the Pivoting Algorithm for Markowitz Portfolio Selection Model
马科维兹资产组合选择模型旋转算法的特点