共 50 条
[42]
A Portfolio Selection Problem with Type-2 Fuzzy Return Based on Possibility Measure and Interval Programming
[J].
2009 IEEE INTERNATIONAL CONFERENCE ON FUZZY SYSTEMS, VOLS 1-3,
2009,
:267-272
[43]
A Cluster Representative Selection Method for Stock Portfolio Based on Efficient Frontier
[J].
PROCEEDINGS OF THE 2021 IEEE 24TH INTERNATIONAL CONFERENCE ON COMPUTER SUPPORTED COOPERATIVE WORK IN DESIGN (CSCWD),
2021,
:1215-1220
[46]
A Portfolio Theory Approach to Software Vendor Selection
[J].
STUDIES IN INFORMATICS AND CONTROL,
2015, 24 (04)
:379-386
[48]
2-PARAMETER THEORY FOR PORTFOLIO SELECTION
[J].
NATIONALOKONOMISK TIDSSKRIFT,
1991, 129 (01)
:23-38
[49]
Portfolio Theory based Sensor Selection in Wireless Sensor Networks with Unreliable Observations
[J].
2016 ANNUAL CONFERENCE ON INFORMATION SCIENCE AND SYSTEMS (CISS),
2016,
[50]
The portfolio selection model of oil/gas projects based on real option theory
[J].
COMPUTATIONAL SCIENCE - ICCS 2007, PT 3, PROCEEDINGS,
2007, 4489
:945-+