10000次的資產分布一定成正態分布。會有mean 和standard deviation。有些人一定有正數mean; 愛冒險的人一定volatility 大。
10000次的資產分布一定成正態分布。會有mean 和standard deviation。有些人一定有正數mean; 愛冒險的人一定volatility 大。
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