 PDF(984 KB)
						
							PDF(984 KB) 
						
						
					 
			 PDF(984 KB)
						
							PDF(984 KB) 
						
						
					 PDF(984 KB)
						
							PDF(984 KB) 
						
						
					考虑背景风险的均值-半方差投资组合优化模型
Mean-semivariance portfolio optimization model with background risk
| {{custom_ref.label}} | {{custom_citation.content}} 
											{{custom_citation.annotation}}
										 | 
/
| 〈 |  | 〉 |