loan ' s portfolio optimization 贷款组合优化
loan s portfolio optimization 贷款组合优化
optimization of loan portfolio 优化贷款投向结构
In the third chapter we build a bank loan portfolio optimization model on the ground of upper limits.
第三章建立了基于有上界限制的组合贷款决策优化模型。
The second chapter analyzes the theoretical ground of the loan portfolio and its optimization.
第二章分析了贷款组合与优化决策的理论基础。
In the forth chapter, we build a total risk optimization model of portfolio loan on the base of expect return.
第四章建立了基于行业组合的贷款总体风险优化决策模型。
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