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- [2] A Portfolio Selection Model With Interval-Valued Return Rates 2013 10TH INTERNATIONAL CONFERENCE ON FUZZY SYSTEMS AND KNOWLEDGE DISCOVERY (FSKD), 2013, : 262 - 267
- [6] A Portfolio Selection Problem with Fuzzy Return Rate FUZZY INFORMATION AND ENGINEERING, VOL 1, 2009, 54 : 520 - +
- [7] A Fuzzy Rate-of-Return Based Model for Portfolio Selection and Risk Estimation IEEE INTERNATIONAL CONFERENCE ON SYSTEMS, MAN AND CYBERNETICS (SMC 2010), 2010,
- [8] Value at risk of loan portfolio with fuzzy return rates PROCEEDINGS OF 2008 INTERNATIONAL CONFERENCE ON MACHINE LEARNING AND CYBERNETICS, VOLS 1-7, 2008, : 1538 - 1541
- [9] Portfolio selection model with fuzzy coefficients PROCEEDINGS OF THE 11TH INTERNATIONAL CONFERENCE ON INDUSTRIAL ENGINEERING AND ENGINEERING MANAGEMENT, VOLS 1 AND 2: INDUSTRIAL ENGINEERING AND ENGINEERING MANAGEMENT IN THE GLOBAL ECONOMY, 2005, : 411 - 415