نتایج جستجو برای: fuzzy portfolio selection

تعداد نتایج: 419680  

2009
Zhongfeng Qin Samarjit Kar Xiang Li

This paper presents portfolio selection problems with ambiguous returns assumed as “return is about ξ” which is neither estimated by randomness nor fuzziness. Portfolio selection problems in uncertain environment are formulated as nonlinear programming models based on uncertain programming approaches. Since there is no efficient solution method to solve these problems directly, original problem...

Journal: :Journal of Engineering Management and Competitiveness 2018

2014
Haifeng Guo BaiQing Sun Hamid Reza Karimi Yuanjing Ge Weiquan Jin Peng Shi

This paper employs fuzzy set theory to solve the unintuitive problem of the Markowitz meanvariance MV portfolio model and extend it to a fuzzy investment portfolio selection model. Our model establishes intervals for expected returns and risk preference, which can take into account investors’ different investment appetite and thus can find the optimal resolution for each interval. In the empiri...

2014
H. A. Khalifa Ramadan A. ZeinEldin

The portfolio selection problem (PSP) uses mathematical approaches to model stock exchange investments. Its aim is to find an optimal set of assets to invest on, as well as the optimal investments for each asset. In this paper, a portfolio selection problem (FPSP) with fuzzy objective function coefficient (FPSP) a multiple objective problem including uncertainties is investigated. The FPSP is c...

In this paper, we discuss a multiperiod portfolio selection problem with fuzzy returns. We present a new credibilitic multiperiod mean semi- absolute deviation portfolio selection with some real factors including transaction costs, borrowing constraints, entropy constraints, threshold constraints and risk control. In the proposed model, we quantify the investment return and risk associated with...

Portfolio selection problem is one of the most important issues in the area of financial management in which is attempted to allocate wealth to different assets with controlling the return and risk. The aim of this paper is to obtain the optimum portfolio with regard to the cardinality and threshold constraints. In the paper, a novel multi-objective possibilistic programming model is developed ...

2010
Safak Kiris Ozden Ustun

Portfolio selection problems include vague parameters and fuzzy set is a powerful tool to cope with uncertainty caused by both the financial markets and the behavior of the investors’ decisions. This paper presents a fuzzy multi-criteria decision making (MCDM) approach to evaluate nine stocks taken from ISE. The Fuzzy Analytic Hierarchy Process method is applied to determine the weights of crit...

Journal: :European Journal of Operational Research 2001
Mar Arenas Parra Amelia Bilbao-Terol Maria Victoria Rodríguez Uría

Portfolio selection is a usual multiobjective problem. This paper will try to deal with the optimum portfolio for a private investor, taking into account three criteria: return, risk and liquidity. These objectives, in general, are not crisp from the point of view of the investor, so we will deal with them in fuzzy terms. The problem formulation is a goal programming (G.P.) one, where the goals...

Journal: :IJKESDP 2010
Takashi Hasuike Hiroaki Ishii

In this paper, several portfolio selection problems with normal mixture distributions including fuzziness are proposed. Until now, many researchers have proposed portfolio models based on the stochastic approach, and there are some models considering both random and ambiguous conditions, particularly using fuzzy random or random fuzzy variables. However, the model including normal mixture distr...

2012
Chien-Feng Huang Bao Rong Chang Dun-Wei Cheng Chih-Hsiang Chang

In the areas of investment research and applications, feasible quantitative models include methodologies stemming from soft computing for prediction of financial time series, multi-objective optimization of investment return and risk reduction, as well as selection of investment instruments for portfolio management, etc. Among all these, stock selection has long been identified as a challenging...

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