Multiperiod mean absolute deviation fuzzy portfolio selection model with risk control and cardinality constraints (Q279474)

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Multiperiod mean absolute deviation fuzzy portfolio selection model with risk control and cardinality constraints
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    Multiperiod mean absolute deviation fuzzy portfolio selection model with risk control and cardinality constraints (English)
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    28 April 2016
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    multiperiod fuzzy portfolio selection
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    mean absolute deviation
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    cardinality constraints
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    discrete approximate iteration method
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    fuzzy number
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