投资组合管理 Portfolio Management
现代投资组合理论Modern Portfolio Theory
风险/收益框架 The Risk/Return Framework
有效市场假说 Efficient Market Hypothesis
投资组合理论 Portfolio Theory
资本资产定价模型(CAPM)Capital Asset Pricing Model(CAPM)
套利定价理论 Arbitrage Pricing Theory
投资政策 Investment Policy
投资目标 Investment Objectives
资产配置 Asset Allocation
资产配置概述 Asset Allocation Overview
资产配置类型 Type of Asset Allocation
资产负债-分析与管理Asset Liability-Analysis and Management
负债建模 Modelling Liabilities
注资比率 Funding Ratios
综合优化 Integrated Optimization
结果解释 Interpretation of Results
编辑与实施 Dynamics and Implementation
投资组合管理实务Practical Portfolio Management
股票组合管理 Managing an Equity Portfolio
衍生工具在投资组合管理中的应用 Derivatives in Portfolio Management
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