Fuzzy portfolio optimization under downside risk measures
- 1 April 2007
- journal article
- Published by Elsevier BV in Fuzzy Sets and Systems
- Vol. 158 (7), 769-782
- https://doi.org/10.1016/j.fss.2006.10.026
Abstract
No abstract availableThis publication has 28 references indexed in Scilit:
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