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"Fuzzy Portfolio Allocation Models Through a New Risk Measure and Fuzzy ..."
Thanh Nguyen et al. (2015)
- Thanh Nguyen, Lee Gordon-Brown, Abbas Khosravi, Douglas C. Creighton, Saeid Nahavandi:
Fuzzy Portfolio Allocation Models Through a New Risk Measure and Fuzzy Sharpe Ratio. IEEE Trans. Fuzzy Syst. 23(3): 656-676 (2015)
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