The following pages link to Risk and Portfolio Analysis (Q5390031):
Displaying 3 items.
- Optimal selection of project portfolios using reinvestment strategy within a flexible time horizon (Q319173) (← links)
- Risk Analysis in Finance and Insurance (Q3002174) (← links)
- A new fuzzy model for multi-criteria project portfolio selection based on modified Kerre's inequality (Q6191692) (← links)