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- projects portfolio selection 项目组合选择
- Project Portfolio Selection 项目组合选择
- Harry Markowitz presented the portfolio selection theory in1952. 1952年,马科维茨提出了资产组合选择理论。
- In chap-ter2,3.We study portfolio selection strategy to base on the safety first criteria. 第二,三章研究跳跃-扩散模型中基于“安全第一准则”的最优投资组合策略,第四章研究跳跃-扩散模型证券投资组合选择的随机微分对策。
- Project Portfolio Management improves organizational results through better management of the multitude of parallel projects in an organization. 在一个组织里,项目组合管理使管理者能够更好的管理大量并行项目,从而有效提高组织的业绩。
- The efficient boundary of the portfolio selection is the key to determine the optimal investment structure. 证券组合投资有效边界是确定最优投资结构的关键。
- An algorithm based on inverse matrix for mean variance portfolio selection model is proposed. 介绍均值方差资产组合选择模型的一种以逆矩阵为基础的算法。
- This optional license is an alternative to CALs for an unlimited number of business partners or customers to access Project Portfolio Server 2007. 此可选许可证可替代允许不限数量的业务伙伴或客户访问Project Portfolio Server 2007的CAL。
- The past 50 years have witnessed a remarkable development in portfolio selection both in theory and real practice. 经过50多年的发展;投资组合选择的理论研究和实践已经取得了相当丰富的成果.
- When companies move from OEM to OBM to Brand, new product project portfolio management becomes an issue and worth to be studied. 摘要随著台湾企业逐渐由OEM转OBM,新产品专案组合管理也随之越来越重要。
- Enigma Concepts - Offers web site design, hosting, consultancy and marketing. Find project portfolio and price comparison. 易易工作室-各种在线工具,站长网志,以及多个应用项目。
- In this paper,authors raise fuzzy optimization models of portfolio selection which give consideration to both return and desiration. 本文提出了一种考虑收益和风险偏好的组合证券模糊最优化模型。
- A new portfolio selection model is proposed on the basis of a new portfolio selection theory, namely the maximin theory. 摘要在一种新的投资组合选择原理-极大极小原理的基础上,提出了一种新的投资组合选择模型;
- So a portfolio selection model based on fractal distribution with market friction is established by using the improved LPM method. 基于分形分布用改进的下方风险法(LPM)度量投资组合的风险,构造了考虑市场摩擦的投资组合模型。
- Designers and CAD Draftsmen: Please forward your cover letter, CV hand project portfolio to the following email addresses. Email should not exceed 3MB in size. 设计师与绘图人员请将介绍书、简历和作品样本及联系电话发至公司邮箱,文件不得超过3MB。我们会尽快与您联络。
- We state Markowitz's risk diversification and it's significance.Then, we explain how Markowitz used his theory to present portfolio selection theory. 首先论述了马科维茨的风险分散化理论及其方法论意义,接着说明了马科维茨运用风险分散化思想而提出的资产组合选择理论及其启示。
- By exploiting strategic alliances, competitive intelligence, RD&E project portfolio management, you discover how highly tactical product development strategies achieve success. 通过开发战略联盟,竞争情报,项目组合管理,你就会发现战术产品发展战略能取得非常大的成功。
- Hou Chengqi.A Study on Portfolio Selection Model on Condition of Non-normal Distributions[D].Dr.Degree's Thesis of Wuhan University,2005. [2]侯成琪.;非正态分布条件下的投资组合模型研究[D]
- It’s regretted that the multi-extremum theory of portfolio selection with different fat tails is still a problem that needs to be resolved. 遗憾的是,具有不同厚尾的股票组合的多元极值分布理论,到目前为止仍然是有待解决的问题。
- The conclusions of empirical research show that our OWA portfolio selection model has much research value in both theory and practice. 实证的结果表明我们提出的序权平均集结组合投资模型既有理论意义又有实际价值。