Fuzzy mean-variance-skewness portfolio selection models by interval analysis (Q630734): Difference between revisions

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Revision as of 23:43, 19 March 2024

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Fuzzy mean-variance-skewness portfolio selection models by interval analysis
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    Fuzzy mean-variance-skewness portfolio selection models by interval analysis (English)
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    19 March 2011
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    fuzzy variables
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    interval numbers
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    portfolio selection
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    mean-variance-skewness model
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    hybrid intelligence algorithm
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