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Fuzzy portfolio selection with superior assets under borrowing rate

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Publication:5486883
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zbMATH Open1115.91328MaRDI QIDQ5486883FDOQ5486883


Authors: Yu Ge, Jianfeng Suo Edit this on Wikidata


Publication date: 15 September 2006





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zbMATH Keywords

fuzzy numberborrowing ratesuperior assets


Mathematics Subject Classification ID

Management decision making, including multiple objectives (90B50) Portfolio theory (91G10) Fuzzy and other nonstochastic uncertainty mathematical programming (90C70)



Cited In (1)

  • Fuzzy portfolio selection problem with different borrowing and lending rates





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