LR Mixed Fuzzy Random Portfolio Choice Based on the Risk Curve

Rouhollah Mehralizade, Akbar Mehralizade. LR Mixed Fuzzy Random Portfolio Choice Based on the Risk Curve. International Journal of Uncertainty, Fuzziness and Knowledge-Based Systems, 30(2):231-261, 2022. [doi]

@article{MehralizadeM22,
  title = {LR Mixed Fuzzy Random Portfolio Choice Based on the Risk Curve},
  author = {Rouhollah Mehralizade and Akbar Mehralizade},
  year = {2022},
  doi = {10.1142/S0218488522500106},
  url = {https://doi.org/10.1142/S0218488522500106},
  researchr = {https://researchr.org/publication/MehralizadeM22},
  cites = {0},
  citedby = {0},
  journal = {International Journal of Uncertainty, Fuzziness and Knowledge-Based Systems},
  volume = {30},
  number = {2},
  pages = {231-261},
}