Fuzzy mean-variance-skewness portfolio selection models by interval analysis (Q630734)
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scientific article; zbMATH DE number 5868193
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| English | Fuzzy mean-variance-skewness portfolio selection models by interval analysis |
scientific article; zbMATH DE number 5868193 |
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Fuzzy mean-variance-skewness portfolio selection models by interval analysis (English)
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19 March 2011
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fuzzy variables
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interval numbers
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portfolio selection
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mean-variance-skewness model
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hybrid intelligence algorithm
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0.94329584
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0.9230023
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0.9221231
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0.9203502
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0.9149191
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0.9121736
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0.90820336
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0.9052351
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0.9016702
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