Pages that link to "Item:Q1973351"
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The following pages link to Portfolio selection based on fuzzy probabilities and possibility distributions (Q1973351):
Displaying 17 items.
- Portfolio selection with a new definition of risk (Q2462128) (← links)
- Fuzzy portfolio selection using genetic algorithm (Q2466720) (← links)
- Asset portfolio optimization using fuzzy mathematical programming (Q2476800) (← links)
- On admissible efficient portfolio selection: models and algorithms (Q2493766) (← links)
- Fuzzy chance-constrained portfolio selection (Q2497828) (← links)
- On admissible efficient portfolio selection policy (Q2572364) (← links)
- An interval portfolio selection problem based on regret function (Q2572835) (← links)
- An improvement in possibilistic linear programming approach for imprecise production/transportation planning decisions (Q3060874) (← links)
- UNCERTAINTY PORTFOLIO MODEL IN CROSS CURRENCY MARKETS (Q3070075) (← links)
- Integrated production/transportation planning decisions using possibilistic linear programming (Q3411891) (← links)
- Expected model for portfolio selection with random fuzzy returns (Q3603702) (← links)
- Application of fuzzy sets to multi-objective project management decisions (Q3625595) (← links)
- (Q4999391) (← links)
- Review of fuzzy investment research considering modelling environment and element fusion (Q5091883) (← links)
- Fuzzy portfolio model with fuzzy-input return rates and fuzzy-output proportions (Q5265619) (← links)
- LR Mixed Fuzzy Random Portfolio Choice Based on the Risk Curve (Q5877184) (← links)
- A Portfolio Selection Methodology Based on Data Envelopment Analysis (Q6160197) (← links)