Fuzzy mean–variance–skewness portfolio selection models by interval analysis

Title
Fuzzy mean–variance–skewness portfolio selection models by interval analysis
Authors
Keywords
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Journal
COMPUTERS & MATHEMATICS WITH APPLICATIONS
Volume 61, Issue 1, Pages 126-137
Publisher
Elsevier BV
Online
2010-11-17
DOI
10.1016/j.camwa.2010.10.039

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