Portfolio optimization under Solvency II: a multi-objective approach incorporating market views and real-world constraints (Q2044823)

From MaRDI portal
Revision as of 20:14, 19 March 2024 by Openalex240319060354 (talk | contribs) (Set OpenAlex properties.)
scientific article
Language Label Description Also known as
English
Portfolio optimization under Solvency II: a multi-objective approach incorporating market views and real-world constraints
scientific article

    Statements

    Portfolio optimization under Solvency II: a multi-objective approach incorporating market views and real-world constraints (English)
    0 references
    0 references
    10 August 2021
    0 references
    portfolio theory
    0 references
    solvency II
    0 references
    multi-objective evolution algorithm
    0 references
    real-world constraints
    0 references
    non-life insurance company
    0 references

    Identifiers