Fuzzy Portfolio Optimization : Theory and Methods /
محفوظ في:
| المؤلف الرئيسي: | |
|---|---|
| مؤلفون آخرون: | , |
| التنسيق: | كتاب |
| اللغة: | الإنجليزية |
| منشور في: |
Berlín, Alemania :
Springer,
2008, c2008
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| سلاسل: | (Lecture Notes in Economics and Mathematical Systems ;
609) |
| الموضوعات: | |
| الوسوم: |
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مواد مشابهة: Fuzzy Portfolio Optimization :
- Metaheuristics for Portfolio Optimization : An Introduction Using MATLAB /
- Quantitative Equity Portfolio Management : An Active Approach to Portfolio Construction and Management /
- Dynamic Portfolio Strategies : Quantitative Methods and Empirical Rules for Incomplete Information /
- Chaos theory in the financial markets : applying fractals, fuzzy logic, genetic algorithms, swarm simulation and the Monte Carlo method to manage market chaos and volatility /
- Active Portfolio Management : A Quantitative Approach for Providing Superior Returns and Controlling Risk /
- Robust Equity Portfolio Management : Formulations, Implementations, and Properties Using MATLAB /