A Portfolio Theory Approach to Software Vendor Selection

被引:0
|
作者
Radulescu, Marius [1 ]
Radulescu, Constanta Zoie [2 ]
机构
[1] Casa Acad Romane, Inst Math Stat & Appl Math, RO-050711 Bucharest 5, Romania
[2] Natl Inst Res & Dev Informat, RO-011455 Bucharest 1, Romania
来源
STUDIES IN INFORMATICS AND CONTROL | 2015年 / 24卷 / 04期
关键词
Software vendor selection; portfolio theory; minimum risk model; complementarity constraints; decision support; MODEL;
D O I
暂无
中图分类号
TP [自动化技术、计算机技术];
学科分类号
0812 ;
摘要
The paper presents a minimum risk model, inspired from the financial portfolio theory, for the selection of a software vendor. The performance of the software products offered by potential software vendors is evaluated by several experts regarding several criteria. The minimum risk model has several constraints. One of the constraints is a complementarity constraint. Other constraints are connected with the available budget and the expected performance of the software products. A procedure for solving the minimum risk model is presented and a numerical example is analyzed.
引用
收藏
页码:379 / 386
页数:8
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