共 50 条
- [2] Portfolio selection based on possibilistic mean and variance of fuzzy numbers PROCEEDINGS OF THE 7TH JOINT CONFERENCE ON INFORMATION SCIENCES, 2003, : 1149 - 1152
- [3] Using fuzzy possibilistic mean and variance in portfolio selection model COMPUTATIONAL INTELLIGENCE AND SECURITY, PT 1, PROCEEDINGS, 2005, 3801 : 291 - 296
- [4] A possibilistic mean variance portfolio selection model PROCEEDINGS OF THE SECOND INTERNATIONAL CONFERENCE ON MANAGEMENT SCIENCE AND ENGINEERING MANAGEMENT, 2008, : 365 - 372
- [5] Fuzzy Portfolio Selection Using a Weighted Function of Possibilistic Mean and Variance in Business Cycles International Journal of Fuzzy Systems, 2016, 18 : 151 - 159
- [7] Portfolio selection: Possibilistic mean-variance model and possibilistic efficient frontier ALGORITHMIC APPLICATIONS IN MANAGEMENT, PROCEEDINGS, 2005, 3521 : 203 - 213
- [8] Two Possibilistic Mean-Variance Models for Portfolio Selection FUZZY INFORMATION AND ENGINEERING, VOLUME 2, 2009, 62 : 1035 - 1044
- [9] A class of weighted possibilistic mean-variance portfolio selection problems PROCEEDINGS OF THE 2004 INTERNATIONAL CONFERENCE ON MACHINE LEARNING AND CYBERNETICS, VOLS 1-7, 2004, : 2036 - 2040