Fuzzy post-retirement financial concepts: an exploratory study
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Cites work
- scientific article; zbMATH DE number 1293544 (Why is no real title available?)
- scientific article; zbMATH DE number 2194036 (Why is no real title available?)
- scientific article; zbMATH DE number 3281219 (Why is no real title available?)
- A fuzzy goal programming approach to portfolio selection
- A possibilistic approach to selecting portfolios with highest utility score
- A stochastic soft constraints fuzzy model for a portfolio selection problem
- A unified approach to fuzzy random variables
- An improved index of interactivity for fuzzy numbers
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- Fuzzy least squares
- Fuzzy multiple attribute decision making: A review and new preference elicitation techniques
- Fuzzy portfolio optimization a quadratic programming approach
- Fuzzy random variables
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- Fuzzy random variables - II. Algorithms and examples for the discrete case
- Fuzzy sets
- Fuzzy sets and systems. Theory and applications
- Fuzzy sets as a basis for a theory of possibility
- Fuzzy sets: History and basic notions
- Linear Regression Analysis with Fuzzy Model
- Membership Functions and Probability Measures of Fuzzy Sets
- On admissible efficient portfolio selection problem
- On the variance of fuzzy random variables
- Probability measures of fuzzy events
- Random fuzzy variables of second order and applications to statistical inference
- Statistics with vague data
- The role of fuzzy logic in modeling, identification and control
- The variance and covariance of fuzzy random variables and their applications
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