Pages that link to "Item:Q850320"
From MaRDI portal
The following pages link to Fuzziness and randomness in investment project risk appraisal (Q850320):
Displaying 12 items.
- Interval and fuzzy average internal rate of return for investment appraisal (Q277408) (← links)
- An integrated decision support approach for project investors in risky and uncertain environments (Q977435) (← links)
- Fuzzy interval methods in investment risk appraisal. (Q1426745) (← links)
- A new optimization model for project portfolio selection under interval-valued fuzzy environment (Q1637913) (← links)
- Fuzzy net present values for capital investments in an uncertain environment (Q1761106) (← links)
- Using extended Monte Carlo simulation method for the improvement of risk management: consideration of relationships between uncertainties (Q2383893) (← links)
- Quantifying the yield of risk-bearing IT-portfolios (Q2482020) (← links)
- Interactive fuzzy numbers in the evaluation of the effectiveness of investment projects and the selection of efficient portfolios (Q2895070) (← links)
- Engineering economic analyses using intuitionistic and hesitant fuzzy sets (Q2988514) (← links)
- Optimization with Fuzzy Present Worth Analysis and Applications (Q3536784) (← links)
- Review of fuzzy investment research considering modelling environment and element fusion (Q5091883) (← links)
- A Simulation Integrated Investment Project Ranking and Selection Approach (Q5173427) (← links)