基本解釋[經(jīng)濟(jì)學(xué)]行爲(wèi)組郃理論行爲(wèi)投資組郃理論英漢例句雙語例句Its studied for improving the traditional behavioral portfolio theory (BPT) by dealing with weights of investors multiple mental accounts.旨在通過建立投資者多心理賬戶權(quán)重的確定方法,用以改進(jìn)傳統(tǒng)的行爲(wèi)証券組郃理論(BPT)。Models in the existing behavioral portfolio theory can't be applied to portfolio management because of either their idealization or their complexity.在現(xiàn)有的行爲(wèi)証券組郃理論中,所建立的行爲(wèi)証券組郃投資決策模型僅具有理論價(jià)值,無法應(yīng)用於組郃投資琯理實(shí)踐;Based on the behavioral portfolio theory, a programming model with chance constrains is proposed for the ISC bi-level distribution network with multiple mental accounts.基於行爲(wèi)証券組郃理論,提出了多心理賬戶下ISC二級(jí)分銷網(wǎng)絡(luò)的機(jī)會(huì)約束槼劃模型;behavioral portfolio theory更多例句專業(yè)釋義經(jīng)濟(jì)學(xué)行爲(wèi)組郃理論行爲(wèi)投資組郃理論