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基于χ~2分布项目投资风险收益模型的建立与优化 被引量:2

Establishment and Optimization of Project Investment Risk Income Models on the Basis of Probability χ~2 Distribution
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摘要 从理论上建立了两类基于X 2分布的项目投资风险收益模型并证明了其中一类有唯一最大值,另一类无极值。这为风险投资决策提供了依据,从而提高了项目风险投资的经济可靠性. In this paper, two kinds of models are given and optimized for the project investment riskful income on the basis of probability distribution . One kinds of model is proved to have only a maximal valve and thither kinds proved have no extreme valve. It provides basis to the decision-making of riskful investment. Consequently, the economic reliability of project riskful investment will be improved.
出处 《辽宁工程技术大学学报(自然科学版)》 CAS 北大核心 2001年第6期832-834,共3页 Journal of Liaoning Technical University (Natural Science)
关键词 项目投资 风险收益 X^2分布 模型 优化 经济分析 project investment riskful income
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