Introduction:
Apply the Markowitz Theory and Capital Asset Pricing Model (CAPM) to analyze and construct the optimal portfolio with/without asset weight constraints with respect to Markowitz Theory near giving the risk,return or investors utility service;or with respect to CAPM by given the venture,revisit or Market Portfolio weighting.too includes Performance Evaluation,extensive helping classes/methods including equation solve and interpolation procedures,analysis of Efficient outskirts,store Portfolio and CML.
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