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A mathematical model for weighing investments

 

作者: RichardF. Melka†,   Janice Miller‡,   Guy Mikolajczak‡,  

 

期刊: International Journal of Mathematical Education in Science and Technology  (Taylor Available online 1983)
卷期: Volume 14, issue 6  

页码: 717-722

 

ISSN:0020-739X

 

年代: 1983

 

DOI:10.1080/0020739830140608

 

出版商: Taylor & Francis Group

 

数据来源: Taylor

 

摘要:

This model assumes three separate investors each with a set amount of money. The full amount is to be invested in six investments, namely: long‐term bonds, short‐term bonds, treasury bonds, common stock, treasury bills, and commercial paper. The investment is made according to weights assigned to safety of principal, growth, current income, taxable income and volatility. The weights are derived by obtaining pairwise comparison matrices and then using an averaging process.

 

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