Application of fuzzy sets with different t-norms in the interpretation of portfolio matrices in strategic management
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Publication:1582173
DOI10.1016/S0165-0114(98)00196-1zbMath0978.90061OpenAlexW1990284862MaRDI QIDQ1582173
Saša Bošnjak, Endre Pap, Zita Bošnjak
Publication date: 3 October 2000
Published in: Fuzzy Sets and Systems (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1016/s0165-0114(98)00196-1
Management decision making, including multiple objectives (90B50) Theory of fuzzy sets, etc. (03E72)
Related Items (3)
THE FUZZY EVALUATION OF THE ICT PROJECTS IN STRATEGIC ENVIRONMENT (CASE STUDY: IRAN TELECOMMUNICATION RESEARCH CENTER) ⋮ A novel SIR approach to closeness coefficient-based MAGDM problems using Pythagorean fuzzy Aczel-Alsina aggregation operators for investment policy ⋮ A soft multi-criteria decision analysis model with application to the European Union enlargement
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