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摘要: |
着眼于研究不确定环境下的投资组合问题,讨论了模糊期望值模型,创新点是把协方差引入到风险度量里面,建立一个群投资组合选择模型。并选取“上证50指数”中的19支成份股进行实证分析,结合遗传算法,通过运用MATLAB软件编程得到了3种投资者各自应该采取的最优投资组合。 |
关键词: 投资组合 模糊数 遗传算法 |
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Empirical Analysis ans Research on Fuzzy Expectation Securities Investment Portfolio Model |
YANG Mei,LU Lun-hui
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Abstract: |
In order to study investment portfolio under uncertain environment,this paper mainly discusses fuzzy expectation model by innovatively introducing covariance into risk measurement,set up a group investment porfolio selection model,makes empirical analysis by choosing 19 constituent stocks of the Shanghai Stock Exchange 50 Index and obtains the optimal investment portfolio which should be implemented each of the three kinds of investors by combining genetic algorithm and by using MATLAB software programming. |
Key words: investment portfolio fuzzy number genetic algorithm |