Pages that link to "Item:Q376652"
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The following pages link to Weighted portfolio selection models based on possibility theory (Q376652):
Displaying 6 items.
- Multiobjective expected value model for portfolio selection in fuzzy environment (Q395845) (← links)
- Fuzzy portfolio selection problem with different borrowing and lending rates (Q410338) (← links)
- An efficient dynamic model for solving a portfolio selection with uncertain chance constraint models (Q515750) (← links)
- Portfolio selection based on upper and lower exponential possibility distributions (Q1809830) (← links)
- Possibilistic mean-standard deviation models to portfolio selection for bounded assets (Q2383677) (← links)
- WEIGHTING TOOLS AND ALTERNATIVE TECHNIQUES TO GENERATE WEIGHTED PROBABILITY MODELS IN VALUATION THEORY (Q3417984) (← links)