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portfolio-management

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UpdatedJuly 4, 2026 at 02:00

本技能基于经典投资组合理论(Modern Portfolio Theory / MPT),为客户提供三种量化策略生成的资产配置方案。支持输入客户风险偏好、资产规模、投资期限和目标收益,返回马科维茨有效前沿推荐组合、风险平价组合和最大多样化组合,并附带持仓明细、预期收益、年化波动率和夏普比率。

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