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A multi-period fuzzy mean-minimax risk portfolio model with investor's risk attitude.

Xingyu YangWeilong LiuSidou ChenYong Zhang
Published in: Soft Comput. (2021)
Keyphrases
  • investment decisions
  • probabilistic model
  • fuzzy sets
  • multi period
  • decision making
  • objective function
  • expert systems
  • fuzzy logic
  • mathematical model
  • portfolio optimization