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- [4] Two Possibilistic Mean-Variance Models for Portfolio Selection FUZZY INFORMATION AND ENGINEERING, VOLUME 2, 2009, 62 : 1035 - 1044
- [6] A class of weighted possibilistic mean-variance portfolio selection problems PROCEEDINGS OF THE 2004 INTERNATIONAL CONFERENCE ON MACHINE LEARNING AND CYBERNETICS, VOLS 1-7, 2004, : 2036 - 2040
- [10] Portfolio Selection via Fuzzy Mean-Variance Model 38TH INTERNATIONAL CONFERENCE ON MATHEMATICAL METHODS IN ECONOMICS (MME 2020), 2020, : 59 - 65