"Fuzzy Portfolio Allocation Models Through a New Risk Measure and Fuzzy ..."

Thanh Nguyen et al. (2015)

Details and statistics

DOI: 10.1109/TFUZZ.2014.2321614

access: closed

type: Journal Article

metadata version: 2020-05-12

a service of  Schloss Dagstuhl - Leibniz Center for Informatics