Pages that link to "Item:Q2627562"
From MaRDI portal
The following pages link to New methods for portfolio selection problem with fuzzy random variable returns (Q2627562):
Displaying 5 items.
- A hybrid intelligent algorithm for portfolio selection problem with fuzzy returns (Q732131) (← links)
- Portfolio selection problems with random fuzzy variable returns (Q1043260) (← links)
- A novel methodology for portfolio selection in fuzzy multi criteria environment using risk-benefit analysis and fractional stochastic (Q2167950) (← links)
- Multi-period portfolio selection with dynamic risk/expected-return level under fuzzy random uncertainty (Q2292986) (← links)
- Mathematical Approaches for Fuzzy Portfolio Selection Problems with Normal Mixture Distributions (Q3055583) (← links)