Pages that link to "Item:Q5265619"
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The following pages link to Fuzzy portfolio model with fuzzy-input return rates and fuzzy-output proportions (Q5265619):
Displaying 4 items.
- A mean-variance portfolio selection model with interval-valued possibility measures (Q2007097) (← links)
- A possibilistic portfolio model with fuzzy liquidity constraint (Q2205332) (← links)
- Possibilistic mean-variance portfolios versus probabilistic ones: the winner is... (Q2331002) (← links)
- Diversified models for portfolio selection based on uncertain semivariance (Q2974213) (← links)