Multi-period portfolio selection based on uncertainty theory with bankruptcy control and liquidity (Q2103729): Difference between revisions

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Property / author: Ran Ran Zhang / rank
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Property / author: Ran Ran Zhang / rank
 
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Latest revision as of 02:39, 31 July 2024

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Multi-period portfolio selection based on uncertainty theory with bankruptcy control and liquidity
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    Multi-period portfolio selection based on uncertainty theory with bankruptcy control and liquidity (English)
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    9 December 2022
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    portfolio optimization
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    uncertainty theory
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    root system growth algorithm
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    return rates
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    experts' evaluations
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