Markowitz Model Analysis of Fund Manager Changing Portfolio
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F830.9

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    Abstract:

    Modern property theory studies the investors maximizing their utilities on measuring return and risk and affecting the whole capital market. Markowitz model has many provisional conditions, and so application of fund manger changing portfolio, on negotiab

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幸昆仑,周小军,陈荣.基金管理人变动资产组合的Markowitz模型分析[J].重庆大学学报社会科学版,2002,8(1):22~24

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  • Received:
  • Revised:May 21,2001
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