掃一掃
關注中圖網
官方微博
本類五星書更多>
-
>
以利為利:財政關系與地方政府行為
-
>
立足飯碗 藏糧于地——基于中國人均耕地警戒值的耕地保護視角
-
>
營銷管理
-
>
茶葉里的全球貿易史(精裝)
-
>
近代華商股票市場制度與實踐(1872—1937)
-
>
麥肯錫圖表工作法
-
>
海龜交易法則
不完全信息下的最優決策——基于隨機無序模型的投資決策問題 版權信息
- ISBN:9787513092760
- 條形碼:9787513092760 ; 978-7-5130-9276-0
- 裝幀:一般膠版紙
- 冊數:暫無
- 重量:暫無
- 所屬分類:>
不完全信息下的最優決策——基于隨機無序模型的投資決策問題 內容簡介
隨機無序模型是阿爾伯特·N.謝里亞夫(AlbertNShiryaev)提出的一個序貫檢測方法,被運用于軍工、氣象、水利等工業制造領域。而在金融市場上,股票狀態瞬息萬變,十分考驗投資者的專業判斷能力。因此,本書嘗試將隨機無序模型引入投資決策當中,從數學統計的角度分析*優投資決策的方法,并通過三個實例分析,來闡述該模型的優越之處。
本書適合有一定數學統計基礎、對投資事業感興趣的讀者閱讀。
不完全信息下的最優決策——基于隨機無序模型的投資決策問題 目錄
第1章緒論···········································································0011.1研究背景·········································································0011.2研究動機·········································································0031.3研究內容與創新之處··························································0041.4研究方法·········································································007第2章文獻綜述·····································································0082.1隨機無序模型的文獻綜述····················································0082.2股票動量效應和趨勢交易的文獻綜述·····································0102.3市場極端風險的文獻綜述····················································0142.4股價與企業投融資決策的文獻綜述········································016第3章隨機無序模型·······························································0193.1隨機無序問題的概率模型····················································0193.2隨機無序模型的求解··························································0223.3附錄····································
展開全部
不完全信息下的最優決策——基于隨機無序模型的投資決策問題 作者簡介
詹鑰凇,現任中山大學商學院助理教授,碩士生導師,中國人民大學金融學博士。研究領域包括市場微觀結構、金融計量、量化投資等。論文發表于Journal of Business & Economic Statistics, Journal of Economic Dynamics and Control等國際知名學術期刊
書友推薦
- >
小考拉的故事-套裝共3冊
- >
唐代進士錄
- >
中國人在烏蘇里邊疆區:歷史與人類學概述
- >
人文閱讀與收藏·良友文學叢書:一天的工作
- >
詩經-先民的歌唱
- >
伊索寓言-世界文學名著典藏-全譯本
- >
山海經
- >
隨園食單
本類暢銷