Multi-period portfolio selection with dynamic risk/expected-return level under fuzzy random uncertainty (Q2292986)

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Multi-period portfolio selection with dynamic risk/expected-return level under fuzzy random uncertainty
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    Multi-period portfolio selection with dynamic risk/expected-return level under fuzzy random uncertainty (English)
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    6 February 2020
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    multi-period portfolio selection
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    dynamic risk/expected-return level
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    fuzzy random variables
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    particle swarm optimization
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