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| 摘要: |
| 运用模糊策略对期望收益率和风险进行确定,对商业银行提高信贷资产收益率、降低信贷风险,有效地进行信贷资产组合管理具有一定的实用价值。 |
| 关键词: 模糊预测,银行信贷,最优资产组合 |
| DOI: |
| 分类号:F830.5 |
| 基金项目: |
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| Fuzzy prediction model and its application in bank credit assets combination |
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张家峰' target='_blank'>ZHANG Jia-feng
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| Abstract: |
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| Key words: fuzzy prediction,bank credit,optimal assets combination, |