| 1. | On the sequence and trend of portfolio theory 投资组合理论的发展脉络及其趋势 |
| 2. | A comparative study of modern portfolio theory model 现代投资组合理论模型的比较研究 |
| 3. | Portfolio theory introducing a value - at - risk constraint 引入风险价值约束的投资组合理论 |
| 4. | Sequence and progress for the portfolio theory 投资组合理论的脉络及发展 |
| 5. | The markowitz ' s portfolio theory and its application in china 证券投资组合理论在中国的运用 |
| 6. | The application of the portfolio theory in oil company 投资组合理论在石油公司投资项目中的应用 |
| 7. | A method on optimal proportional reinsurance by portfolio theory 用组合投资理论确定最优比例再保险的一个方法 |
| 8. | The third part is a theory of open - end fund investment portfolio theory 第三部分,开放式基金的投资组合理论。 |
| 9. | Efficient application of markowitz portfolio theory in security market of china 投资组合理论在中国证券市场的应用 |
| 10. | The application of modern investment portfolio theory in real estate investment 现代投资组合理论在房地产投资中的应用 |