Expected model for portfolio selection with random fuzzy returns (Q3603702)
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scientific article; zbMATH DE number 5508991
| Language | Label | Description | Also known as |
|---|---|---|---|
| default for all languages | No label defined |
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| English | Expected model for portfolio selection with random fuzzy returns |
scientific article; zbMATH DE number 5508991 |
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Expected model for portfolio selection with random fuzzy returns (English)
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18 February 2009
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portfolio selection
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mean-variance model
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random programming
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fuzzy programming
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random fuzzy programming
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0.9034919738769532
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0.8967840075492859
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0.8845807313919067
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0.8752756714820862
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0.8649410605430603
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