Optimization of stock portfolio based on ant Colony & grey theory Journal title: International Research Journal of Applied and Basic Sciences Authors: Dr.Ali Najafi Moghadam| Professor and Faculty member of Islamic Azad University Roudehen ,Iran, Dr.f... Subject(s): Public Health and Community Medicine
Theoretical Aspects Concerning the Use of the Markowitz Model in the Management of Financial Instruments Portfolios Journal title: Revista Romana de Statistica Authors: Mădălina - Gabriela ANGHEL Subject(s): Mathematics, Statistics , Science
RESEARCH AND METHODOLOGY APPROACH TO THEOPTIMAL PORTFOLIO STRUCTURE OF RETAIL BANKING LOANS Journal title: Фінансово-кредитна діяльність: проблеми теорії та практик Authors: А. Kharchenko, O. Shabanova, K. Cherkashyna Subject(s):
ОБ ОДНОЙ ЗАДАЧЕ ОПТИМАЛЬНОГО ИНВЕСТИРОВАНИЯ ФОНДОВОГО РЫНКА Journal title: Science Review Authors: Лейла Мамедова Subject(s):
ANALYSIS OF THE MARKOWITZ’S AND TOBIN’S MODELS FOR SECURITIES PORTFOLIO CONSTRUCTION Journal title: Вісник Національного технічного університету «ХПІ». Серія: Системний аналiз, управління та iнформацiйнi технологiї Authors: Halyna Vietrova, Viktor Huzhva Subject(s):
An overview of portfolio optimization using fuzzy data envelopment analysis models Journal title: Journal of Fuzzy Extension & Applications Authors: Mehrdad Rasoulzadeh; Mohammad Fallah Subject(s): Engineering, Mathematics