机译:具有VaR约束和无风险投资的模糊可能性投资组合选择模型
School of Business Administration, Institute of Government Decision-making and Performance Evaluation, South China University of Technology, Guangzhou, 510640, China,School of Mathematics and Computer Science, Ningxia University, Yinchuan, Ningxia 750021, China;
School of Business Administration, Institute of Government Decision-making and Performance Evaluation, South China University of Technology, Guangzhou, 510640, China;
School of Business Administration, Institute of Government Decision-making and Performance Evaluation, South China University of Technology, Guangzhou, 510640, China;
fuzzy number; value at risk; possibilistic mean; possibilistic variance; portfolio;
机译:具有熵和方差约束的多目标不确定产品组合选择的无风险保护指标模型
机译:带有模糊收益的多期投资组合选择的可能矩模型
机译:具有基数约束的多周期均值半方差投资组合选择及其算法
机译:在投资组合选择模型中使用模糊均值和方差
机译:基于模糊概率和可能性分布的投资组合选择。
机译:基于多模式融合的阿尔茨海默病计算机辅助诊断系统:基于混合模糊遗传-可能性模型的组织定量和基于SVDD模型的判别分类
机译:不确定框架下具有熵约束的投资组合选择的无风险保护指数模型