• 股票风险指标β系数直接反应出,The,β,市场组合变动投资收益的相关性。

    of a stock is how much it reacts to movements in the market portfolio.

    youdao

  • 基于相关机会规划模型投资者首先确定收益目标,然后寻找证券组合最大概率实现目标。

    In portfolio selection model based on dependent-chance programming, we maximize the probability of the event that the total return rate is not smaller than a predetermined value.

    youdao

  • 基于相关机会规划模型投资者首先确定收益目标,然后寻找证券组合最大概率实现目标。

    In portfolio selection model based on dependent-chance programming, we maximize the probability of the event that the total return rate is not smaller than a predetermined value.

    youdao

$firstVoiceSent
- 来自原声例句
小调查
请问您想要如何调整此模块?

感谢您的反馈,我们会尽快进行适当修改!
进来说说原因吧 确定
小调查
请问您想要如何调整此模块?

感谢您的反馈,我们会尽快进行适当修改!
进来说说原因吧 确定