1.
The Quantitative Analysis of the Return and the Risk of Portfolio Investment

证券组合投资收益和风险的量化分析
2.
Investment has risk which is direct ration with revenue.

投资就有风险,并且风险和收益呈正相关。
3.
In this paper the return and risk of portfolio are analyzed.

文章首先分析了组合证券投资的收益率和风险。
4.
Portfolio Selection Decision Based on Profit Satisfaction Degree and Risk Satisfaction Degree;
基于收益和风险满意度的组合投资决策
5.
The Mathematic Model and Solving Methods of Investment Problem;

投资的收益和风险的数学模型及算法研究
6.
The Research on Risk and Benefit of Warrant Bond Investment in China

我国分离交易可转债投资风险和收益研究
7.
Perceived Risk and Perceived Return Based on Investor Sentiment

基于投资者情绪的认知风险和认知收益
8.
Cost earnings,risk avoidance and human capital investment;

成本收益、风险规避与人力资本投资
9.
An Analysis on the Gains and Risks of International Portfolio

国际证券组合投资的收益与风险分析
10.
OPTIMAL ANALYSIS METHOD FOR RETURN AND RISK OF PORTFOLIO

投资组合收益及风险分析的优化方法
11.
The Relationship between Enterprise R&D Investment, Income and Systematic Risk;

企业研发投资与收益、系统风险的关系
12.
Research on the Individual Investment Profits and Risk in Higher Education;

个人投资高等教育的收益与风险研究
13.
On Analysis of Risk and Yield of Combinations of Present Stock Investment;

现代证券投资组合的收益与风险分析
14.
The Equivalence Property of Return-Risk Models;

关于投资收益-风险模型等价性的证明
15.
Superficial Discussing Profits and Risks of Portfolio in Vestment;

浅谈关于组合证券投资的风险与收益
16.
Application of internal rate of return to corporation risk investment decision;

内部收益率在企业风险投资中的应用
17.
The Return-risk Analysis Frame for Portfolio Selection

组合投资决策的收益—风险分析框架
18.
Research on venture capital firm s risk premium of due diligence;

风险投资公司尽职调查的风险收益研究