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Fuzzy Portfolio Optimization
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Fuzzy Portfolio Optimization

Most of the existing portfolio selection models are based on the probability theory. By using fuzzy mathematical approaches, quan- tative analysis, qualitative analysis, the experts’ knowledge and the investors’ subjective opinions can be better integrated into a portfolio selection model.
Undertittel
Theory and Methods
Opplag
2008 ed.
ISBN
9783540779254
Språk
Engelsk
Vekt
310 gram
Utgivelsesdato
7.5.2008
Antall sider
176