源码名称: |
markowitz |
文件类型: |
.zip |
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源码类型: |
matlab |
源码分类: |
Finance-Stock software system |
文件大小: |
1 KB |
热 度: |
℃ |
源码作者 : |
rajesh |
整理时间: |
2013-01-17 |
源码简介: |
This program uses Markowitz portofolio theory to find combination of stocks in a portfolio which has minimum variance for expected returns
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下载地址: |
[ 下载地址1 ] |
相关源码: |
无相关信息
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分 享 : |
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