Multi-period portfolio selection based on uncertainty theory with bankruptcy control and liquidity (Q2103729)

From MaRDI portal





scientific article; zbMATH DE number 7630464
Language Label Description Also known as
default for all languages
No label defined
    English
    Multi-period portfolio selection based on uncertainty theory with bankruptcy control and liquidity
    scientific article; zbMATH DE number 7630464

      Statements

      Multi-period portfolio selection based on uncertainty theory with bankruptcy control and liquidity (English)
      0 references
      0 references
      0 references
      0 references
      0 references
      9 December 2022
      0 references
      portfolio optimization
      0 references
      uncertainty theory
      0 references
      root system growth algorithm
      0 references
      return rates
      0 references
      experts' evaluations
      0 references
      0 references
      0 references

      Identifiers