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Titlebook: Uncertain Portfolio Optimization; Zhongfeng Qin Book 2016 Springer Science+Business Media Singapore 2016 Credibility Theory.Portfolio Opti

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11#
發(fā)表于 2025-3-23 09:44:01 | 只看該作者
12#
發(fā)表于 2025-3-23 15:49:02 | 只看該作者
Random Fuzzy Mean-Risk Model,rable function from a credibility space to the set of random variables, however a fuzzy random variable is a measurable function from a probability space to the set of fuzzy variables. Although they are different, both of them may describe the portfolio optimization with mixture of randomness and fuzziness.
13#
發(fā)表于 2025-3-23 20:13:33 | 只看該作者
Uncertain Mean-Semiabsolute Deviation Model,in (2012) proposed an uncertain mean-semiabsolute deviation model for the asymmetric case and Huang and Qiao (2012) presented a risk index model for multi-period case. Different from these, Zhu (2010) applied uncertain optimal control to model continuous-time problem, but Yao and Ji (2014) considered the problem by using uncertain decision making.
14#
發(fā)表于 2025-3-23 22:33:57 | 只看該作者
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發(fā)表于 2025-3-24 04:00:51 | 只看該作者
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發(fā)表于 2025-3-24 07:38:00 | 只看該作者
17#
發(fā)表于 2025-3-24 11:53:13 | 只看該作者
Credibilistic Cross-Entropy Minimization Model,om investment return from a priori one. From then on, many researchers accepted the criterion and investigated these entropy optimization models (Cherny and Maslov 2003; Fang et al. 1997; Rubinstein 2008; Simonelli 2005).
18#
發(fā)表于 2025-3-24 15:05:41 | 只看該作者
Book 2016presents a series of portfolio optimization models in the framework of credibility theory, uncertainty theory and chance theory, respectively. As such, it offers readers a comprehensive and up-to-date guide to uncertain portfolio optimization models.
19#
發(fā)表于 2025-3-24 21:25:45 | 只看該作者
20#
發(fā)表于 2025-3-25 02:17:43 | 只看該作者
Zhongfeng QinChinese discourse, the book is a valuable resource for anyone interested in discourse analysis and Chinese special sentential structures, especially the formalapproaches to these issues..978-981-15-8668-2978-981-15-8666-8
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