Two possibilistic mean-variance models for portfolio selection (Q3563285)
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scientific article; zbMATH DE number 5714152
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| English | Two possibilistic mean-variance models for portfolio selection |
scientific article; zbMATH DE number 5714152 |
Statements
Two Possibilistic Mean-Variance Models for Portfolio Selection (English)
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31 May 2010
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possibility theory
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possiblistic mean
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possiblistic variance
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portfolio selection
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0.919167160987854
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0.9081758260726928
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0.8985739350318909
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0.8860836029052734
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0.8796705007553101
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