A new portfolio selection model with interval-typed random variables and the empirical analysis (Q1797766)

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scientific article; zbMATH DE number 6960098
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    A new portfolio selection model with interval-typed random variables and the empirical analysis
    scientific article; zbMATH DE number 6960098

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      A new portfolio selection model with interval-typed random variables and the empirical analysis (English)
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      22 October 2018
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      portfolio selection
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      interval numbers
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      probabilistic measure
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      risk
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      returns
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      assets
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