Portfolio selection based on distance between fuzzy variables
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Publication:1718279
DOI10.1155/2014/403208zbMath1407.91232OpenAlexW2117802620WikidataQ59066764 ScholiaQ59066764MaRDI QIDQ1718279
Publication date: 8 February 2019
Published in: Mathematical Problems in Engineering (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1155/2014/403208
Fuzzy and other nonstochastic uncertainty mathematical programming (90C70) Financial applications of other theories (91G80) Portfolio theory (91G10)
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