Optimal Solution of Fuzzy Optimization using Pentagonal Fuzzy Numbers

被引:1
|
作者
Ramli, Suhailywati [1 ]
Jaaman, Saiful Hafizah [1 ]
机构
[1] Univ Kebangsaan Malaysia, Fac Sci & Technol, Sch Math Sci, Bangi 43600, Selangor, Malaysia
关键词
Mean-variance; Pentagonal fuzzy; Portfolio optimization; PORTFOLIO SELECTION; VARIANCE; MODEL;
D O I
10.1063/1.5041597
中图分类号
O1 [数学];
学科分类号
0701 ; 070101 ;
摘要
The fundamental goal of portfolio optimization is to optimally allocate funds between different investment alternatives. The mean-variance (MV) methodology has become the most important quantitative tool used which considers the trade-off between risk and return. However the classical Markowitz's MV method does not match the real world in numerous circumstances, thus researchers done are to improve and modify the MV model to represent the practicality. This paper discusses on a portfolio selection model that extends the classical Markowitz's mean-variance model where the returns is represented by pentagonal fuzzy numbers. The concept of alpha level set is used to define the expected return and variance of fuzzy number. The proposed model gives better performance as compared to classical mean-variance model. Numerical examples are also presented to illustrate the usability of the model
引用
收藏
页数:8
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