scientific article; zbMATH DE number 6311039
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Publication:4980223
zbMATH Open1299.91135MaRDI QIDQ4980223
Publication date: 30 June 2014
Title: zbMATH Open Web Interface contents unavailable due to conflicting licenses.
fuzzy numbermultiperiod fuzzy portfolio selectionmean semi-absolute deviationdiscrete approximate iteration
Applications of graph theory (05C90) Theory of fuzzy sets, etc. (03E72) Portfolio theory (91G10) Actuarial science and mathematical finance (91G99)
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Multi-period mean-semivariance portfolio optimization based on uncertain measure ⋮ Fuzzy multi-objective portfolio model based on semi-variance--semi-absolute deviation risk measures
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