发明名称 COMPUTERIZED METHOD AND SYSTEM FOR MANAGING A FINANCIAL PORTFOLIO RELATIVE TO MARKET VOLATILITY
摘要 The system and method for managing a financial portfolio relative to market stability includes determining a first allocation of assets in the portfolio and a level of equity exposure, the portfolio including a plurality of funds; monitoring a quantitative risk indicator for market signals, determining whether the quantitative risk indicator meets a predetermined risk threshold value and if the risk indicator meets the risk threshold value, adjusting the level of equity exposure by selling a first position on a first set of options associated with a first fund and purchasing a second position on a second set of options associated with a second fund.
申请公布号 WO2011011491(A2) 申请公布日期 2011.01.27
申请号 WO2010US42713 申请日期 2010.07.21
申请人 JOENK, STEVEN 发明人 JOENK, STEVEN
分类号 G06Q40/00 主分类号 G06Q40/00
代理机构 代理人
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