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数学建模投资的收益和风险

于 2020-12-10 发布
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多目标优化摘要:对市场上的多种风险投资和一种无风险资产(存银行)进行组合投资策略的的设计需要考虑连个目标,总体收益尽可能大和总体风险尽可能小,然而,这两目标并不是相辅相成的,在一定意义上是对立的。模型一应用多目标决策方法建立模型,以投资效益没目标,对投资问题建立个一个优化模型,不同的投资方式具有不同的风险和效益,该模型根据优化模型的原理,提出了两个准则,并从众多的投资方案中选出若干个,使在投资额一定的条件下,经济效益尽可能大,风险尽可能小。模型二给出了组合投资方案设计的一个线性规划模型,主要思想是通过线性加权综合两个设计目标:假设在投资规模相当大的基础上,将交易费函数近似线性化,通过决策

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The SAR data was provided by Radarsat Intenational THinterferogram was generated and provided by Vexcel Corporation, Boulder, Coloradop00This text is printed on acid-free paper.Copyright o 1998 by John Wiley Sons, Inc. All rights reservedNo part of this publicationreproduced, stored in a retrievalsystem or transmitted in any form or by any means, elechanical photocopying, recording, scanning or otherwise,xcept as permitted under Sections 107 or 1O% of the 1976of the Publisher or authorization through payment of theontates Copyright Act, without cither theppropriate per-copy fee to the Copyright Clearance Center, 222750-4744. Requests to the Publisher for permission show(978)ood Drive, Danvers, MA 01923, (978)750-8400, faxnc.. 605 Third A venue. New York, NY 10158-0012(212)850-6011fax(212)850-6008,E-Mail:PERMREQ@WILEY.COMTwo-dimensional phase unwrapping: theory, algorithms, andsoftware/Dennis C Ghiglia and Mark D Pritt.SBN0-471-24935-1(cloth: alk. paper)1. Synthetic aperture radar. 2. 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Clever utilization of the coherent SArimagery in interferometric configurations makes possible the measurement ofsurface topography to accuracies much better than the spatial resolution( 0.3meters to several meters)of the SaR images themselves. Indeed, as is commonplace with interferometers, measurement sensitivities are on the order of theoperating wavelength, which is typically a few centimeters for SAR. 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