It's formed the risk measurement model based on BSV ( Barberis-Shleifer-Vishny) ideology, by which the traditional behavioral portfolio theory is adjusted.

  • 基于BSV(Barberis-Shleifer-Vishny)思想建立了一种风险度量模型,据此调整了传统的行为证券组合理论;

  • 互联网摘选 2025-01-20 13:06:22

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