Portfolio selection based on fuzzy probabilities and possibility distributions
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Publication:1973351
DOI10.1016/S0165-0114(98)00041-4zbMath1028.91551OpenAlexW2148675883WikidataQ127443467 ScholiaQ127443467MaRDI QIDQ1973351
Publication date: 27 April 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)00041-4
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Cites Work
- Possibilistic linear regression analysis for fuzzy data
- Identification of possibilistic linear systems by quadratic membership functions of fuzzy parameters
- Fuzzy data analysis by possibilistic linear models
- Default reasoning and possibility theory
- Evidence theory of exponential possibility distributions
- Fuzzy sets as a basis for a theory of possibility
- Exponential possibility regression analysis
- Probability measures of fuzzy events
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