کلیدواژه: portfolio optimization, Markowitz Mean-Variance Model, Network Data Envelopment Analysis, Cross-Efficiency, Intuitionistic fuzzy sets
نویسندگان: Rasoulzadeh M., Edalatpanah S.A., Fallah M., Najafi S.E.
ناشر: مجله سیستم های فازی ایران - Iranian Journal of Fuzzy Systems
In the dynamic world of financial investment, crafting an optimal stock Portfolio that judiciously balances risk, return, and efficiency emerges as a critical challenge. Despite the wealth of research on financial Portfolio optimization, prevailing methodologies predominantly emphasize either risk m... ادامه
سال:2024
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