随着这一部门已经在2008年遭受到了未能预期的损失,许多组合式对冲基金将被迫关张。
With the sector already losing money after suffering unexpected losses in 2008, many funds-of-funds may be forced to close.
针对预期收益率与风险损失率为模糊数时,建立了一种具有模糊系数的证券组合投资选择模型。
A optional model of portfolio investment with fuzzy-coefficient in which profit rates and risk rates are fuzzy Numbers is presented in this paper.
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