Pages that link to "Item:Q323461"
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The following pages link to Fuzzy multi-period portfolio selection with different investment horizons (Q323461):
Displaying 12 items.
- A N-N optimization model for logistic resources allocation with multiple logistic tasks under demand uncertainty (Q1626234) (← links)
- Intuitionistic fuzzy optimistic and pessimistic multi-period portfolio optimization models (Q2156490) (← links)
- A multi-period fuzzy mean-minimax risk portfolio model with investor's risk attitude (Q2157055) (← links)
- Multi-period portfolio selection with mental accounts and realistic constraints based on uncertainty theory (Q2175840) (← links)
- On product of positive \(L\)-\(R\) fuzzy numbers and its application to multi-period portfolio selection problems (Q2177756) (← links)
- Adaptive online portfolio selection with transaction costs (Q2242399) (← links)
- Multi-period portfolio selection with dynamic risk/expected-return level under fuzzy random uncertainty (Q2292986) (← links)
- Multi-period portfolio selection problem under uncertain environment with bankruptcy constraint (Q2295230) (← links)
- A new bi-objective fuzzy portfolio selection model and its solution through evolutionary algorithms (Q2318256) (← links)
- Fuzzy multi-objective portfolio model based on semi-variance--semi-absolute deviation risk measures (Q2318618) (← links)
- Uncertain portfolio selection with mental accounts (Q5026818) (← links)
- Review of fuzzy investment research considering modelling environment and element fusion (Q5091883) (← links)