• So, as a consequence, we're going to stick with the worst case analysis.

    因此,我们要坚持,最坏的情况进行分析

    麻省理工公开课 - 计算机科学及编程导论课程节选

  • You take all the risky assets ... and you analyze them first to get their-- you have to do a statistical analysis to get their expected returns, their variances, and their covariances.

    你需要所有的风险资产进行分析,首先要得到它们的-,你必须要做一个统计分析,算出它们的预期收益率,方差,和它们的协方差。

    耶鲁公开课 - 金融市场课程节选

$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