A risk-minimizing portfolio model with fuzziness

Yuji Yoshida. A risk-minimizing portfolio model with fuzziness. In FUZZ-IEEE 2008, IEEE International Conference on Fuzzy Systems, Hong Kong, China, 1-6 June, 2008, Proceedings. pages 909-914, IEEE, 2008. [doi]

@inproceedings{Yoshida08-0,
  title = {A risk-minimizing portfolio model with fuzziness},
  author = {Yuji Yoshida},
  year = {2008},
  doi = {10.1109/FUZZY.2008.4630478},
  url = {http://dx.doi.org/10.1109/FUZZY.2008.4630478},
  researchr = {https://researchr.org/publication/Yoshida08-0},
  cites = {0},
  citedby = {0},
  pages = {909-914},
  booktitle = {FUZZ-IEEE 2008, IEEE International Conference on Fuzzy Systems, Hong Kong, China, 1-6 June, 2008, Proceedings},
  publisher = {IEEE},
  isbn = {978-1-4244-1818-3},
}