Portfolio Management with Fuzzy Measures
A new portfolio selection process based on fuzzy integral and measure theories has been introduced, providing a fresh take on traditional portfolio theory.
Featured in No. 76 on 27 Nov 2024 · 4 days after release
- Released
- 23 Nov 2024
- First featured
- No. 76 · 27 Nov 2024
- Published in
- Not yet, as far as Semantic Scholar knows
- Shares when featured
- 3
- Identifier
- SSRN 5031669
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