摘要
针对风险投资收益变化问题,从影响投资收益的因素出发,提出了影响风险投资收益因素的实现倍数和风险投资收益实现倍数的概念,并借用此概念提出了对影响风险投资收益因素变化情况进行描述的方法,给出了评估风险投资收益实现倍数的方法程序和基于心理预期的定量模型。
In cognizance of income changes in the risk investment,the article put forward two concepts creatively from the influencing factors concerned.One is the Achieved-multiples of the factors which affect the investment income.The other is the Achieved-multiples of investment income.According to the new concepts,it mooted the method about how to describe the changes of factors influencing the risk investment income.What's more,it gave the procedures and methods of the assessment on the risk investment earning and the quantitative models based on the psychological expectations.
出处
《系统管理学报》
北大核心
2009年第3期316-319,共4页
Journal of Systems & Management
关键词
风险投资
收益
模型
risk investment
income
model