Optimization in decision analysis, marketing and financial investments
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Publication:3930968
DOI10.1080/0020739820130104zbMATH Open0475.90011OpenAlexW2040536057MaRDI QIDQ3930968FDOQ3930968
Authors: J. N. Kapur
Publication date: 1982
Published in: International Journal of Mathematical Education in Science and Technology (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1080/0020739820130104
Cites Work
- A Mathematical Theory of Communication
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- The Fundamental Approximation Theorem of Portfolio Analysis in terms of Means, Variances and Higher Moments
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- Exposition of a New Theory on the Measurement of Risk
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- Optimization in mathematics, statistics, economics, operations research, science and technology
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