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证券投资策略的理论基础及在我国的研究应用
引用本文:陈会荣.证券投资策略的理论基础及在我国的研究应用[J].湖北财经高等专科学校学报,2006,18(3):30-33.
作者姓名:陈会荣
作者单位:湖北财经高等专科学校,湖北,武汉,430077
摘    要:证券投资策略的理论以现代投资理论为基础,中国证券市场投资策略的研究应用也以马柯维茨组合理论为基本框架,进行理性地投资、控制风险和提高收益。

关 键 词:证券投资  策略  理论  研究
文章编号:1009-170X(2006)03-0030-04
收稿时间:04 3 2006 12:00AM
修稿时间:2006-04-03

The Theory Foundation of Securities Investment Policy and its Research and Application in our Country
CHEN Hui-rong.The Theory Foundation of Securities Investment Policy and its Research and Application in our Country[J].Journal of Hubei College of Finance and Economics,2006,18(3):30-33.
Authors:CHEN Hui-rong
Institution:Hubei College of Finance and Economics, Wuhan, Hubei 430077 China
Abstract:The theory of securities investment policy is based on modern investment theory and the research and application of Chinese securities market investment policy should also take the combination theory of Marcowich as basic frame and control the risk and increase income.
Keywords:securities investment  strategy  theories  research  
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