Fuzzy multi-period portfolio selection model with time-varying loss aversion

Title
Fuzzy multi-period portfolio selection model with time-varying loss aversion
Authors
Keywords
-
Journal
JOURNAL OF THE OPERATIONAL RESEARCH SOCIETY
Volume -, Issue -, Pages 1-15
Publisher
Informa UK Limited
Online
2020-05-07
DOI
10.1080/01605682.2019.1705191

Ask authors/readers for more resources

Find Funding. Review Successful Grants.

Explore over 25,000 new funding opportunities and over 6,000,000 successful grants.

Explore

Discover Peeref hubs

Discuss science. Find collaborators. Network.

Join a conversation