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投资基金收益风险的数理分析
引用本文:阎东升,王龙兴.投资基金收益风险的数理分析[J].上海交通大学学报,1996,30(5):85-88.
作者姓名:阎东升  王龙兴
摘    要:应用均值-方至理论分析了共同基金投资组合的风险和收益,证明了基金在维持较高期望收益的前提下,可通过分散投资实现总资产风险最低.

关 键 词:投资基金  金融资产  资产组合

Mathematical Analysis of Revenue and Risk of Investment Fund
Yan Dongsheng, Wang Longxing, Wu Jianzhong, Ding Rencai.Mathematical Analysis of Revenue and Risk of Investment Fund[J].Journal of Shanghai Jiaotong University,1996,30(5):85-88.
Authors:Yan Dongsheng  Wang Longxing  Wu Jianzhong  Ding Rencai
Institution:Management School
Abstract:In this paper, the authors analyze the revenue and risk of investment fund with mathematical methods. It is proved that the risk of the fund assets can reach the lowest level through proper investment portfolio along with a comparatively higher expected revenue.
Keywords:s: investment fund  financial assets  assets portfolio  
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