A week ago, Baring Asset Management sold some of the gold holdings from its Baring Dynamic Asset Allocation fund.
一周前,霸菱资产管理公司(Baring Asset Management)出售了旗下霸菱动态资产配置基金的部分黄金资产。
Abstract: the dynamic asset allocation model is one of the most valuable theories in the subject of modern asset management.
[摘要]动态资产配置模型是现代资产管理理论中最具价值的理论之一。
Under the guidance of the philosophy of the mean - reversion, we are able to achieve risk management successfully through dynamic asset allocation.
成功的风险管理是在均值回归的哲学指导下通过资产配置的动态优化实现的。
The allocation of risky asset in the dynamic portfolio correlates with the individual age and risk preference positively, the income and financial case negatively.
理财组合中风险资产的配置与个人年龄和风险偏好负相关,与个人劳动收入和资产量正相关。
It also creates a stochastic dynamic model about fluctuant risk preference in asset allocation, which extends the model of r.
并给出一个资产管理中关于波动风险偏好的随机动态模型,推广了R。
It also creates a stochastic dynamic model about fluctuant risk preference in asset allocation, which extends the model of r.
并给出一个资产管理中关于波动风险偏好的随机动态模型,推广了R。
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