markowitz
markowitz什么意思,markowitz翻译
基本解释
网络: 马柯维茨;马克维兹;马考维茨
例句
Markowitz formalised these ideas and drew up the mathematical formulae to optimise diversification .
马柯维茨整理了这些观点,推导出数学公式,使多样化达到最优。
This line is called the "Efficient Frontier" and is Markowitz"s key contribution to portfolio theory.
这条线叫做“效率界限”(EfficientFrontier),是Markowitz对投资组合理论的重要贡献。
Markowitz said he was shocked to discover that, in 7 of 10 patients, there were no new mutations in the liver tumors.
Markowitz惊讶的发现,70%的结肠转移性肝肿瘤都没有发生基因突变。
Dr. Markowitz, like nearly every other leading scientist in colon cancer genomics, is an author of the new study.
马科维茨博士,与结肠癌基因组学的几乎所有其他的领先科学家一样,是这项新研究论文的作者之一。
The portfolio mean-variance theory of Markowitz is the foundation of modern portfolio theory and modern financial theory.
Markowitz资产组合均值方差理论是现代资产组合理论和金融理论的奠基石。
Marty Markowitz"s worst nightmare may be coming true: New York City is becoming an increasingly two-wheeled town.
纽约市布鲁克林区区长马蒂-马科维茨(MartyMarkowitz)可能要“恶梦成真”了:纽约市正在逐渐变成两个轮子上的城市。
"It"ll be absolutely gorgeous, " Mr. Markowitz said, and "a really great attraction for the future of Coney Island. "
“那一定会是非常棒的,”马可维迪斯先生说到,“并且,这肯定会对康尼岛未来的发展有促进作用。”
The project drew on advances in DNA sequencing technology and collections of tumor samples from patients treated by Markowitz.
这项课题采用了DNA序列测定技术并从Markowitz治疗过的肿瘤病人中选择样本。
Before the publication of Prof Markowitz"s paper, Portfolio Selection, investors focused on the risks and rewards of individual securities.
在马柯维茨教授的论文《投资组合选择》(PortfolioSelection)发表之前,投资者的关注点都放在单个证券的风险和回报上。
Markowitz first put forward about portfolio Mean-Variance model in 1952. Mean-Variance Model is the base of modern portfolio theory.
Markowitz于1952年最早提出了关于投资组合的均值——方差(Mean-Variance)模型,M-V模型,奠定了现代投资组合理论的基础。