• 本文主要讨论了证券组合理论期权定价理论中的部分内容

    In this paper, the partial contents about portfolio theory and option theory are discussed.

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  • 旨在通过建立投资者心理账户权重确定方法,用以改进传统行为证券组合理论(BPT)。

    Its studied for improving the traditional behavioral portfolio theory (BPT) by dealing with weights of investors multiple mental accounts.

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  • 本文介绍了现代证券组合理论几个主要的数学模型并分析了组合收益中的风险构成及风险收益决策。

    Several mathematical models in modern portfolio has been introduced in this essay and the risk components in portfolio income constitution have been analyzed.

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  • 50年代马科维茨提出证券组合理论开始金融学进入定量分析阶段可以看作是金融数学开端

    In the early 50's Markowitz advanced portfolio theory. From that time on, finance stepped into the stage of quantificational analysis, which can be regarded as the beginning of financial mathematics.

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  • 资产组合理论证券组合理论资本资产定价模型基本思路方法进行了评述对几点不足之处进行了改进及实证检验。

    In this paper, a commentary and an annotation to the basic ideas and methods of the asset portfolio theory, the security portfolio theory and the capital asset pricing model (CAPM) are presented.

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  • 资产组合理论证券组合理论资本资产定价模型基本思路方法进行了评述对几点不足之处进行了改进及实证检验。

    In this paper, a commentary and an annotation to the basic ideas and methods of the asset portfolio theory, the security portfolio theory and the capital asset pricing model (CAPM) are presented.

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