[摘要]动态资产配置模型是现代资产管理理论中最具价值的理论之一。
Abstract: the dynamic asset allocation model is one of the most valuable theories in the subject of modern asset management.
在经典均值-方差模型的基础上,提出了存在交易费用时基于风险价值约束的资产配置模型。
On the basis of the classical mean-variance model, the article proposes the asset allocation model with value-at-risk constraint and transaction cost.
示例资产通过在案例模板中的 CaseConfig 对象上设置新案例类型的配置,处理数据模型的命名规则。
The sample asset handles the naming part of the data model by setting the configuration of the new case type on the CaseConfig object in the case template.
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