共 50 条
- [1] A multi-period dynamic model for optimal Portfolio Selection MANAGEMENT SCIENCES AND GLOBAL STRATEGIES IN THE 21ST CENTURY, VOLS 1 AND 2, 2004, : 29 - 33
- [2] Multi-period Fuzzy Portfolio Selection Model with Cardinality constraints 2019 16TH INTERNATIONAL CONFERENCE ON SERVICE SYSTEMS AND SERVICE MANAGEMENT (ICSSSM2019), 2019,
- [4] Fuzzy multi-period portfolio selection model with discounted transaction costs Soft Computing, 2018, 22 : 177 - 193
- [8] Multi-period portfolio selection model with transaction cost PROCEEDINGS OF THE 2015 INTERNATIONAL CONFERENCE ON SOCIAL SCIENCE AND HIGHER EDUCATION, 2015, 28 : 355 - 360
- [10] Multi-period mean-dynamic VaR optimal portfolio selection: Model and algorithm Open Automation and Control Systems Journal, 2015, 7 (01): : 366 - 369