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A Fuzzy Mixed Projects and Securities Portfolio Selection Model

机译:模糊混合项目和证券产品组合选择模型

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The business environment is full of uncertainties. Investing in various asset classes may lower the risk of overall portfolio and increase the potential for greater returns. In this paper, we propose a bi-objective mixed asset portfolio selection model involving projects as well as securities. Furthermore, based on fuzzy decision theory, a fuzzy mixed projects and securities portfolio selection model is also proposed. A numerical example is given to illustrate the behavior of the proposed fuzzy mixed asset portfolio selection model.
机译:商业环境充满了不确定性。投资各种资产课程可能降低整体投资组合的风险,并增加更大收益的潜力。在本文中,我们提出了涉及项目以及证券的双目标混合资产组合选择模型。此外,基于模糊决策理论,还提出了一种模糊混合项目和证券组合选择模型。给出了数值示例以说明所提出的模糊混合资产产品组合选择模型的行为。

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