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The Risk and Reward Management in Innovation Portfolios: A Markovian Approach - MaRDI portal

The Risk and Reward Management in Innovation Portfolios: A Markovian Approach (Q5145052)

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scientific article; zbMATH DE number 7298410
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English
The Risk and Reward Management in Innovation Portfolios: A Markovian Approach
scientific article; zbMATH DE number 7298410

    Statements

    The Risk and Reward Management in Innovation Portfolios: A Markovian Approach (English)
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    19 January 2021
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    disruptive innovation
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    innovation portfolio
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    Markov process
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    markov model
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    management
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