behavioral portfolio theory
基本解释
- [经济学]行为组合理论行为投资组合理论
英汉例句
- Its studied for improving the traditional behavioral portfolio theory (BPT) by dealing with weights of investors multiple mental accounts.
旨在通过建立投资者多心理账户权重的确定方法,用以改进传统的行为证券组合理论(BPT)。 - Models in the existing behavioral portfolio theory can't be applied to portfolio management because of either their idealization or their complexity.
在现有的行为证券组合理论中,所建立的行为证券组合投资决策模型仅具有理论价值,无法应用于组合投资管理实践; - Based on the behavioral portfolio theory, a programming model with chance constrains is proposed for the ISC bi-level distribution network with multiple mental accounts.
基于行为证券组合理论,提出了多心理账户下ISC二级分销网络的机会约束规划模型;
双语例句
专业释义
- 行为组合理论
- 行为投资组合理论