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Home > chinese-english > "马柯" in English

English translation for "马柯"

ke ma

Related Translations:
:  名词1.[书面语] (草木的枝茎) stalk or branch2.[书面语] (斧子的柄) axe-handle; helve3.(姓氏) a surname 短语和例子柯云 ke yun
柯柯糖:  chocolate
柯柯盐池:  hoh yanchi
Example Sentences:
1.Markowitz portfolio theory has become the footstone of modem finance theory
摘要马柯维茨的投资组合理论奠定了现代金融理论的基石。
2.We develop the model by drawing into the concept of " pareto optimality " and use the concepts of feasible set and validation set to analyze the target function
同时,有创意的引入“帕累托最优”概念模型进行改进,还将投资学中的马柯维茨关于可行集和有效集的概念与目标函数进行了类比分析。
3.With global financial markets growing , theoretical research went deeper and deeper , such as markowitz ’ s diversification theory , william sharpe ’ s capm , and the most popular var
随着全球金融市场的发展,经济、金融界关于风险管理的理论研究也不断深入:从马柯维茨的证券投资组合理论到威廉
4.This paper studies the ways to comfotmate the models of portfolio investment combi - nation , and demonstration analysis , divided into three parts . the first part : exordium . mainly introduces the risk of portfolio investment . the second part : brings forward several kinds of investment combination model , including the traditional markowitz model , multiobjective programming and fuzzy programming . the third part : goes along with the demonstration analysis of each kind of model basted on the shanghai stock market , at the same time , appraises the superiority and inferiority with the single - parameter measurement of tangible achievement . before then , most papers discussed the static models , this paper extends the static models to the dynamic models by the means of weighted moving average and bayes estimation
本文研究了证券投资组合模型的构造方法及其实证分析,分三部分进行:第一部分,绪论,主要介绍证券投资的风险;第二部分,提出几种投资组合模型,在传统的马柯维茨模型及线性规划的基础上,本文另外提出多目标规划的其它解法,并把前人模糊规划的理论应用到具体的建模中;第三部分,根据我国的沪市行情,对各种模型进行实证分析,并利用实绩的单参数度量对各种模型的优劣性进行评价。
5.In 1952 , h . m . markowitz published an article called " asset selection : efficient decentralization of investment " . he adopted the expectation yield of risk asset , and , at the same time . adopted variance ( or standard deviation ) which represents risk , for the study of selection and combination of asset . this is called the jumping - off point of the modern times asset combination theory by financial circles . after then , william . f . sharpe advanced capital asset pricing model . the study of modern tunes asset combination theory in our country began in 1990 when markowitz and sharpe gained the nobel prize , such as fei fang yu ( 1994 ) and bei duo guang ( 1996 ) published several kinds of bookmakings which introduced modern times asset combination theory , simultaneity , yang gui yuan ( 1995 ) , tang xiao wo ( 1994 ) published several articles which discussed the ways how to comformate efficient asset combination in modern times asset combination theory
之后,威廉?夏普( william . f . sharpe )又提出了资本资产定价模型。我国对现代资产组合理论的研究是从1990年马柯维茨和夏普等人获得诺贝尔经济学奖开始的,如费方域( 1994 )和被贝多广( 1996 )等出版了几种介绍现代资产组合理论的著作。杨桂元( 1995 ) 、唐小我( 1994 )等发表了不少讨论现代资产组合理论中构造有效资产组合理论方法的文章。
6.Moreover , i make the positive analysis with the actual date of our security market . by means of quadratic programming , i get the efficient convex and portfolio at the point of tangency . through the aggression , i get the portfolio of sim at the point of tangency
在此基础上使用我国证券市场的实际数据,运用二次规划方法求解了马柯维茨有效边界和切点组合;用回归的方法求解了单指数模型的切点组合;用二步回归的方法初步检验了资本资产定价模型;使用三业绩指数,对我国的基金进行业绩评级。
7.The conclusion is : multiobjective programming and fuzzy programming are superior to the traditional markowitz model , compart : s the dynamic models with the static models , the former can reponse more soon to the wave of the stock price , so we can adjust period by period based on the dynamic models
本文得出的结论是:多目标规划及模糊规划等方法优于传统的马柯维茨模型,在实证检验中表现出更高的投资效率,动态的模型与静态的模型相比,能更快地对股价波动作出反应,可进行逐期调整。
Similar Words:
"马考罗" English translation, "马考普希火出口" English translation, "马靠鞍装" English translation, "马靠鞍装,人靠衣裳" English translation, "马靠鞍装人靠衣裳" English translation, "马科" English translation, "马科-贝里内利" English translation, "马科・奥德斯凯" English translation, "马科〔包括马、驴及斑马" English translation, "马科阿" English translation