Pages that link to "Item:Q2509527"
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The following pages link to Fuzzy portfolio model with different investor risk attitudes (Q2509527):
Displaying 10 items.
- Research on probability mean-lower semivariance-entropy portfolio model with background risk (Q783139) (← links)
- Artificial bee colony algorithm for constrained possibilistic portfolio optimization problem (Q1618411) (← links)
- A hybrid FA-SA algorithm for fuzzy portfolio selection with transaction costs (Q1730443) (← links)
- Fuzzy portfolio selection model with real features and different decision behaviors (Q1795117) (← links)
- An optimistic value-variance-entropy model of uncertain portfolio optimization problem under different risk preferences (Q2099874) (← links)
- A multi-period fuzzy mean-minimax risk portfolio model with investor's risk attitude (Q2157055) (← links)
- Portfolio selection under different attitudes in fuzzy environment (Q2198246) (← links)
- Application of artificial bee colony algorithm to portfolio adjustment problem with transaction costs (Q2336210) (← links)
- Fuzzy portfolio model with fuzzy-input return rates and fuzzy-output proportions (Q5265619) (← links)
- A new fuzzy model for multi-criteria project portfolio selection based on modified Kerre's inequality (Q6191692) (← links)