Decision Making in Management Based on Fuzy Mean-Variance Analysis
Author:
Affiliation:
1. Doctor's Course of Industrial Management, Postgraduate Course of Engineering, Graduate School of Osaka Institute of Technology
2. Tokyo Computer Service Co., Ltd.
3. Department of Industrial Management, Osaka Institute of Technology
Publisher
Japan Society for Fuzzy Theory and Intelligent Informatics
Link
https://www.jstage.jst.go.jp/article/jfuzzy/8/5/8_KJ00002088780/_pdf
Reference7 articles.
1. Fuzzzy Portfolio Selection
2. 6) BELLMAN R. E. Decision Making in a Fuzzy Environment. Management Science. (1970) vol.17, p.B141-B164.
3. 12) ZIMMERMANN H. J. Fuzzy Programming and Linear Programming with Several Objective Functions. Fuzzy Sets Syst.. (1978) vol.1, p.45-55. doi:10.1016/0165-0114(78)90031-3
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1. Fuzzy Portfolio Model for Decision Making in Investment;Dynamical Aspects in Fuzzy Decision Making;2001
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