A fuzzy portfolio selection method based on possibilistic mean and variance (Q841982)
From MaRDI portal
| This is the item page for this Wikibase entity, intended for internal use and editing purposes. Please use this page instead for the normal view: A fuzzy portfolio selection method based on possibilistic mean and variance |
scientific article; zbMATH DE number 5605044
| Language | Label | Description | Also known as |
|---|---|---|---|
| English | A fuzzy portfolio selection method based on possibilistic mean and variance |
scientific article; zbMATH DE number 5605044 |
Statements
A fuzzy portfolio selection method based on possibilistic mean and variance (English)
0 references
18 September 2009
0 references
possibilistic mean value
0 references
possibilistic variance
0 references
\(LR\)-type fuzzy number
0 references
portfolio selection
0 references
0 references
0 references
0 references
0 references
0 references
0 references