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文件名称:Mean-Variance
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- 上传时间:2016-07-20
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文件大小:69.1kb
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已下载:1次
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以最大化收益方差比的方式将20支股票及无风险利率产品的投资组合进行优化的方式,并且以夏普值等数据评价其优劣-To maximize earnings variance ratio manner portfolio 20 risk-free rate and equity products optimized manner, and with the value of Sharp and other data to uate the pros and cons
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下载文件列表
Mean Variance/
Mean Variance/capm.m
Mean Variance/data.txt
Mean Variance/FTSE100.csv
Mean Variance/GB_rf.csv
Mean Variance/MKT_CAP_WGT.csv
Mean Variance/MomentsEstimator_TB.m
Mean Variance/ObjSR.m
Mean Variance/ret_mthly.csv
Mean Variance/snp_mthly.csv
Mean Variance/Stocks_rt.csv
Mean Variance/Stocks_rt_MOM.csv
Mean Variance/MEAN_Variance.m
Mean Variance/MV_data.txt
Mean Variance/MV_wgt.txt
Mean Variance/capm.m
Mean Variance/data.txt
Mean Variance/FTSE100.csv
Mean Variance/GB_rf.csv
Mean Variance/MKT_CAP_WGT.csv
Mean Variance/MomentsEstimator_TB.m
Mean Variance/ObjSR.m
Mean Variance/ret_mthly.csv
Mean Variance/snp_mthly.csv
Mean Variance/Stocks_rt.csv
Mean Variance/Stocks_rt_MOM.csv
Mean Variance/MEAN_Variance.m
Mean Variance/MV_data.txt
Mean Variance/MV_wgt.txt
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