The Risk and Reward Management in Innovation Portfolios: A Markovian Approach
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Publication:5145052
DOI10.17535/crorr.2018.0013zbMath1458.91190OpenAlexW2905062141WikidataQ128744204 ScholiaQ128744204MaRDI QIDQ5145052
Publication date: 19 January 2021
Published in: Croatian Operational Research Review (Search for Journal in Brave)
Full work available at URL: https://hrcak.srce.hr/ojs/index.php/crorr/article/view/7343
Portfolio theory (91G10) Applications of continuous-time Markov processes on discrete state spaces (60J28)
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