Markowitz 投资组合理论在数字货币 上的应用 2018年7月1日
Markowitz投资组合理论在数字货币上的应用2018年7月1日摘要Markowitz投资组合理论是金融学领域的经典理论,它奠定了现代投资理论发展的基础,这一理论很好地回答了在既定风险水平的基础上,如何使投资的可能预期收益率极大,或为获得既定的预期收益率,如何使承担的风险极小的问题,本文将通过将该理论应用到数字货币的交易中,测试通过投资组合分散投资对提高投资收益和分散风险的作用。作者袁煜明杜海彭俊豪huobiresearch@huobi.com火币区块链行业周报2目录1.数据准备............................................................
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