Rough sets and the role of the monetary policy in financial stability (macroeconomic problem) and the prediction of insolvency in insurance sector (microeconomic problem)
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Publication:877651
DOI10.1016/J.EJOR.2006.01.045zbMATH Open1123.91028OpenAlexW2076101799MaRDI QIDQ877651FDOQ877651
Authors: N. E. Zubov
Publication date: 3 May 2007
Published in: European Journal of Operational Research (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1016/j.ejor.2006.01.045
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Cites Work
- Title not available (Why is that?)
- Rough sets theory for multicriteria decision analysis
- Business failure prediction using rough sets
- The Modern History of Exchange Rate Arrangements: A Reinterpretation
- Multicriteria decision aid methods for the prediction of business failure
- Probabilistic, fuzzy and rough concepts in social choice
Cited In (4)
- Machine learning in corporate credit rating assessment using the expanded audit report
- Transmission of the 2007–2008 financial crisis in advanced countries of the European Union
- Recent fuzzy generalisations of rough sets theory: a systematic review and methodological critique of the literature
- Topological characterizations of covering for special covering-based upper approximation operators
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