不同借贷利率下的投资组合选择---基于均值和VaR的效用最大化模型

Systems Engineering - Theory & Practice ›› 2009, Vol. 29 ›› Issue (1) : 22-28.

PDF(566 KB)
PDF(566 KB)
Systems Engineering - Theory & Practice ›› 2009, Vol. 29 ›› Issue (1) : 22-28. DOI: 10.12011/1000-6788(2009)1-22
论文

    {{javascript:window.custom_author_en_index=0;}}
  • {{article.zuoZhe_EN}}
Author information +
History +

HeighLight

{{article.keyPoints_en}}

Abstract

{{article.zhaiyao_en}}

Key words

QR code of this article

Cite this article

Download Citations

References

References

{{article.reference}}

Funding

RIGHTS & PERMISSIONS

{{article.copyrightStatement_en}}
{{article.copyrightLicense_en}}
PDF(566 KB)

Accesses

Citation

Detail

Sections
Recommended

/