- efficient set of portfolios
- фин. эффективное множество портфелей, эффективный набор портфелейSee:
Англо-русский экономический словарь.
Англо-русский экономический словарь.
Markowitz efficient set of portfolios — The collection of all efficient portfolios, graphically referred to as the Markowitz efficient frontier. The New York Times Financial Glossary The collection of all efficient portfolios , which can be graphed as the Markowitz efficient frontier.… … Financial and business terms
Efficient set — Graph representing a set of portfolios that maximize expected return at each level of portfolio risk. The New York Times Financial Glossary … Financial and business terms
efficient set — Graph representing a set of portfolios that maximize expected return at each level of portfolio risk. Bloomberg Financial Dictionary … Financial and business terms
Markowitz Efficient Set — A set of portfolios with returns that are maximized for a given level of risk based on mean variance portfolio construction. The efficient solution set to a given set of mean variance parameters (a given riskless asset and a given risky basket of … Investment dictionary
efficient surface — In mean variance skewness analysis, the set of portfolios that result from investor s preference for higher means, lower variance and higher ( positive) skewness. The efficient surface is analogous ( in three dimensions, mean, variance and… … Financial and business terms
Markowitz efficient frontier — The graphical depiction of the Markowitz efficient set of portfolios representing the boundary of the set of feasible portfolios that have the maximum return for a given level of risk. Any portfolios above the frontier cannot be achieved. Any… … Financial and business terms
Эффективный набор портфелей Марковица — набор эффективных портфелей, графически обозначаемый как эффективная граница Марковица. По английски: Markowitz efficient set of portfolios См. также: Современная портфельная теория Финансовый словарь Финам … Финансовый словарь
Economic Affairs — ▪ 2006 Introduction In 2005 rising U.S. deficits, tight monetary policies, and higher oil prices triggered by hurricane damage in the Gulf of Mexico were moderating influences on the world economy and on U.S. stock markets, but some other… … Universalium
India — /in dee euh/, n. 1. Hindi, Bharat. a republic in S Asia: a union comprising 25 states and 7 union territories; formerly a British colony; gained independence Aug. 15, 1947; became a republic within the Commonwealth of Nations Jan. 26, 1950.… … Universalium
Modern portfolio theory — Portfolio analysis redirects here. For theorems about the mean variance efficient frontier, see Mutual fund separation theorem. For non mean variance portfolio analysis, see Marginal conditional stochastic dominance. Modern portfolio theory (MPT) … Wikipedia
japan — japanner, n. /jeuh pan /, n., adj., v., japanned, japanning. n. 1. any of various hard, durable, black varnishes, originally from Japan, for coating wood, metal, or other surfaces. 2. work varnished and figured in the Japanese manner. 3. Japans,… … Universalium