摘要
针对高等教育投资效益的特点,提出了教育投资组合的收益与风险的概念;参照教育部对高等教育一级学科的分类,建立了教育投资组合收益与风险优化模型,对教育投资组合收益与风险进行了定量分析.
Based on the features of the income of higher education investment,the concepts of the income and the risk of education investment combination are given. Referring to the classification of Grade 1 discipline of higher education by the State Educational Ministry,various kinds of optimal models are set up. The income and the risk of the higher education investment combination are analyzed quantitatively.
出处
《大连理工大学学报》
CAS
CSCD
北大核心
2002年第6期637-639,共3页
Journal of Dalian University of Technology
基金
国家自然科学基金资助项目(19871009).
关键词
高等教育
收益
风险
一级学科
教育投资组合
return
risk/Grade 1 discipline
effective investment combination
education investment combination