- ホーム
- > 洋書
- > 英文書
- > Business / Economics
基本説明
The contents of this book mainly comprise of the authors' research results for fuzzy portfolio selection problems in recent years.
Full Description
Most of the existing portfolio selection models are based on the probability theory. By using fuzzy mathematical approaches, quan- tative analysis, qualitative analysis, the experts' knowledge and the investors' subjective opinions can be better integrated into a portfolio selection model.



