"投资组合管理"是个多义词,它可以指投资组合管理(基金管理的一种),投资组合管理(程黄维等编著书籍),投资组合管理(徐华青、肖武侠、卢晓生编著书籍),投资组合管理(海财经大学出版社),投资组合管理(李学峰编著图书)。
鲍勃在介绍中提到,我1985年刚来耶鲁时,已经在华尔街待了六年,完全没有任何,投资组合管理的经验。
Bob mentioned in his introduction that I showed up at Yale in 1985, after having spent six years on Wall Street, and I was totally unencumbered by any portfolio management experience.
最优化经理人架构和预算经理人风险。投资组合管理期刊( 2000年春季刊) 90 - 104 。
Waring , barton, duane whitney, john pirone and charles castille. optimizing manager structure and budgeting manager risk. the journal of portfolio management ( spring 2000 ) : 90 - 104
项目组合管理涉及关于计划的有效的、及时的且连续的投资决策,这建立了企业业务策略的目标及目标组件。
Portfolio management is concerned with effective, timely, and continuing investment decisions about initiatives; which enable goals and goals components of the enterprise business strategy.
If you read his Pioneering Portfolio Management on the syllabus, he really has a preference for equities.
如果你阅读他的著作《开拓投资组合的管理》的摘要,他确实对股票有偏好。
The general principle of portfolio management is: you want to include as many assets as you can.
投资组合管理总的原则是:,不同的资产越多则组合越佳。
I'm transferring this to the portfolio management problem and you can see it's the same idea.
如果将保险转化为投资组合管理的问题,你会发现原理是一样的。
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