您要查找的是不是:
- 这两种股份结合起来的投资组合的风险可能会比分别持有一独股份的风险要The risking of a portfolio that combines both of these stocks may be less than the risking of each stock taken separately.
- 证券投资组合的风险与收益The Risk and Income of Investment Combinations in Bond
- 最优投资组合的风险补偿分析Risk-Premium Analysis on Optimal Investment Portfolio
- 分形理论与证券投资组合的风险分散Fractural Theory and Security Portfolio Risk Dispersion
- 因此,指数型基金投资组合的构建应坚持被动投资,力避主动投资。Thus, the portfolio of indexation fund should be guided by passive in stead of active investment.
- 投资组合investment portfolio
- 融资组合的风险和回报financing mix's risk and reward
- (“投资组合”这一术语指一个人拥有的资产的组合)。(The term portfolio means the collection of assets one owns.)
- 债券组合的风险价值The Value at Risk of the portfolio of Bonds
- 因此在他们大多数人的投资组合中,股票数量高于平均数。Most therefore had an above-average weighting of shares in their portfolios.
- IRB法下信贷资产组合的风险因子度量研究On Measuring Risk Factors of Loan Portfolio with IRB Approaches
- 投资组合的总面值;Total book value of the portfolio;
- IRB法下公司敞口组合的风险驱动因子计量研究Study on Risk Drivers Measurement of Corporate Exposure Portfolio under IRB Approaches
- 你可以把套利定价中的因素想成代表着易受一种普遍影响的特殊的股票投资组合。You can think of the factors in arbitrage pricing as representing special portfolios of stocks that tend to be subject to a common influence.
- 不同借贷利率的投资组合的有效前沿Efficient Frontier of Portfolio under Different Loan Interest Rates
- 证券投资组合的模糊M-V模型Fuzzy M-V Model to Portfolio
- 投资组合风险investment portfolio risk
- 证券投资组合的原理及其应用The Principles of the Combinations of Investment in Bond and Their Application
- 有风险资产投资组合动态分析Dynamic analysis for risk assets portfolio
- 长期投资组合的连续时间模型Continuous Time Models for Long Run Portfolios