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

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