Risk Curve and Bifuzzy Portfolio Selection
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Publication:3655406
DOI10.5539/JMR.V1N2P193zbMath1181.91304OpenAlexW2014547936MaRDI QIDQ3655406
Publication date: 7 January 2010
Published in: Journal of Mathematics Research (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.5539/jmr.v1n2p193
Learning and adaptive systems in artificial intelligence (68T05) Theory of fuzzy sets, etc. (03E72) Portfolio theory (91G10)
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