Fuzzy multi-period portfolio selection with different investment horizons (Q323461): Difference between revisions

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Property / Mathematics Subject Classification ID: 91G10 / rank
 
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Property / Mathematics Subject Classification ID: 90C70 / rank
 
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Property / zbMATH DE Number: 6636522 / rank
 
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fuzzy sets
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multi-period portfolio selection
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mean-variance model
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credibility theory
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fuzzy simulation
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Revision as of 02:27, 28 June 2023

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Fuzzy multi-period portfolio selection with different investment horizons
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    Fuzzy multi-period portfolio selection with different investment horizons (English)
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    7 October 2016
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    fuzzy sets
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    multi-period portfolio selection
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    mean-variance model
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    credibility theory
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    fuzzy simulation
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