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选择金融资产组合投资策略的优化方法
AN OPTIMAL METHOD TO SELECTING STRATEGY OF COMBINED FINANCIAL ASSET INVESTMENT
【摘要】 建立了投资策略的优势原则,给出相对一定收益率下的最优金融资产组合和金融资产组合的风险下界及选择最优金融资产组合的方法
【Abstract】 A superior rule on investment strategy is constructed. Based on the rule, a method to select the optimal assets is presented.
【关键词】 投资策略;
金融资产组合;
收益率;
风险;
凸规划;
【Key words】 investment strategy; combined finanical assets; rate of return; risk; convex programming;
【Key words】 investment strategy; combined finanical assets; rate of return; risk; convex programming;
- 【文献出处】 宁夏大学学报(自然科学版) ,Journal of Ningxia University(Natural Science Edition) , 编辑部邮箱 ,1997年04期
- 【分类号】F224
- 【被引频次】5
- 【下载频次】167