q=%E5%8A%A8%E6%80%81%E8%B5%84%E4%BA%A7%E9%85%8D%E7%BD%AE%E9%97%AE%E9%A2%98%E7%9A%84%E6%9C%80%E4%BC%98%E7%AD%96%E7%95%A5%E7%A0%94%E7%A9%B6%EF%BC%9A%E5%9F%BA%E4%BA%8E%E5%A4%9A%E9%98%B6%E6%AE%B5%E5%9D%87%E5%80%BC%EF%BC%8D%E6%96%B9%E5%B7%AE%E6%A8%A1%E5%9E%8B%EF%BC%9Abased+on+multi%5C-period+mean%5C-variance+model&searchType=standard&isFacet=true&view=standard&rows=10&sortWay=score&sortOrder=desc&curlibcode=CSZYXY&searchWay0=marc&logical0=AND
rows=10&curlibcode=CSZYXY&searchWay0=marc&logical0=AND
动态资产配置问题的最优策略研究:基于多阶段均值-方差模型:based on multi-period mean-variance model