摘要
借助数学模型探讨股票投资问题.以每日获取最大利润为目标,建立线性规划模型;以市场布林线算法为评价标准划分时期,并建立不同时期的多指标模糊综合评价模型;采用三次指数平滑方法对上证指数进行预测并验证;根据股票价格偏离价值程度图,分析上海股市存在的泡沫情况.
The issues about the stock investment is discussed. First, a linear programming model is built to maximize the daily profit. Secondly, on the basis of Bollinger Bands Method. ,the given period will be divided into different periods. For each one, fuzzy comprehensive evaluation model with multi-index is built. Thirdly, the Shanghai index can be forecasted and verified by the three exponential smoothing methods. Finally, a chart for analyzing the situation that the Shanghai stock market existing stock-market bubble is made.
出处
《高等数学研究》
2010年第3期59-61,共3页
Studies in College Mathematics
关键词
线性规划
布林线算法
模糊综合评价法
三次指数平滑法
linear programming
Bollinger Bands Method
fuzzy comprehensive evaluation method
three exponential smoothing method.