The theory of modern assets portfolio is to study how to allocate the investable funds to more assets with incomes and risk acceptable to different investors when everything is uncertain.

 
  • 现代资产组合理论是研究在各种不确定的情况下,如何将可供投资的资金分配于更多的资产上,以寻求不同类型投资者所能接受的收益和风险水平相匹配的最适当、最满意的资产组合的系统方法。
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