Aiming at Chinese actual situation, the paper studies a Markowitz's Model, which can be used to measure conservative investors' portfolio market risk.
针对我国的实际情况,论文研究了适合于风险规避型投资人计量其风险的马科维茨模型。
Aiming at Chinese actual situation, the paper studies a Markowitz's Model, which can be used to measure conservative investors' portfolio market risk.
针对我国的实际情况,论文研究了适合于风险规避型投资人计量其风险的马科维茨模型。
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