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基于当前价格的风险收益证券组合投资策略
引用本文:林孝贵. 基于当前价格的风险收益证券组合投资策略[J]. 广西科学院学报, 2003, 19(2): 55-59
作者姓名:林孝贵
作者单位:广西工学院管理工程系,柳州,545006
摘    要:基于当前价格和风险收益的证券组合策略不仅考虑基于当前价格的风险,而且考虑风险与收益的关系。这一策略通过使风险收益尽可能大来解出证券组合比例,并证明所求的证券组合比例具有较好的性质,改善了传统的证券组合策略的效果。该策略还为判断当前价格是适合买入还是适合卖出提供理论基础。

关 键 词:证券组合投资 证券组合比例 风险收益 当前价格 投资策略 证券市场
收稿时间:2008-02-24
修稿时间:2003-02-24

Portfolio Investment Strategy Based on Profits at Risk of Present Price
Lin Xiaogui. Portfolio Investment Strategy Based on Profits at Risk of Present Price[J]. Journal of Guangxi Academy of Sciences, 2003, 19(2): 55-59
Authors:Lin Xiaogui
Affiliation:Dept. of Management Eng., Guangxi Institute of Tech., Liuzhou, 545006
Abstract:The portfolio investment strategy based on the present price and profits at risk considered not only the risks based on the present price,but also the relation between risk and profit It obtained the ratios of portfolio by maximizing the profits at risk The ratios of portfolio obtained have good qualities The effect of traditional portfolio strategy is improved This strategy could give some ideas for buying and selling at the present price
Keywords:present price  portfolio investment  portfolio ratio  profits at risk
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