摘要
对股份制公司的综合投资方案的决策问题进行了研究.首先依据多个投资方案的风险与收益并存的实际情况,建立了最佳投资组合方案的多目标决策模型.然后,由董事会综合各股东所持股份和相互评价权值,利用群决策的方法得到一个最终投资方案,此方案在理论上能使公司获得最大收益.
This paper researches on decision problem of the comprehensive investment scheme of the stock company. Firstly, we construct a multi-object decision model with optimization combined investment scheme, according to risk Vs income in many schemes practically. Secondly, directorate combines stock and mutual estimation weights of shareholders, taking advantage of group decision method, to obtain a final investment scheme. The scheme proposed will bring the stock company the greatest profits in terms of theory.
出处
《数学的实践与认识》
CSCD
北大核心
2006年第4期56-60,共5页
Mathematics in Practice and Theory
关键词
风险与收益
投资方案
群决策
risk and income
plan of investment
group decision