基于不确定理论的广义均值半绝对偏差投资组合选择模型
Generalized mean semi-absolute deviation model of portfolio selection based on uncertainty theory
Fuzzy Optimization and Decision Making · 2025
被引 0
ABS 3
- Sanjoy Chhatri
- Debasish Bhattacharya
- Birojit Das 通讯
金融经济学投资组合理论不确定性理论优化模型