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A fuzzy programming approach to financial portfolio model
Kenneth D. Lawrence
, Dinesh R. Pai
, Ronald K. Klimberg
, Sheila M. Lawrence
MT School of Management
Research output
:
Chapter in Book/Report/Conference proceeding
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Chapter
5
Scopus citations
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Keyphrases
Academic Literature
100%
Asset Returns
100%
Investor Perspective
100%
Fuzzy Programming
100%
Goal Programming
100%
Financial Portfolio
100%
Membership Function
100%
Professional Literature
100%
Portfolio Model
100%
Fuzzy Goal Programming
100%
Asset Pricing
100%
Economics, Econometrics and Finance
Industry
100%
Investors
100%
Capital Market Returns
100%
Asset Pricing
100%
Computer Science
Goal Programming
100%
Membership Function
100%
Fuzzy Programming
100%