Portfolio management under epistemic uncertainty using stochastic dominance and information-gap theory (Q2379322)

From MaRDI portal
Revision as of 19:42, 2 February 2024 by Import240129110113 (talk | contribs) (Added link to MaRDI item.)
scientific article
Language Label Description Also known as
English
Portfolio management under epistemic uncertainty using stochastic dominance and information-gap theory
scientific article

    Statements

    Portfolio management under epistemic uncertainty using stochastic dominance and information-gap theory (English)
    0 references
    0 references
    0 references
    0 references
    0 references
    0 references
    0 references
    0 references
    0 references
    19 March 2010
    0 references
    0 references
    epistemic uncertainty
    0 references
    finance
    0 references
    imprecise probabilities
    0 references
    info-gap
    0 references
    information-gap
    0 references
    portfolio
    0 references
    probability boxes
    0 references
    stochastic dominance
    0 references