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The Mean-Variance-CVaR model for Portfolio OptimizationModeling using a Multi-Objective Approach Based on a Hybrid Method
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- Journal:
- Mathematical Modelling of Natural Phenomena / Volume 5 / Issue 7 / 2010
- Published online by Cambridge University Press:
- 26 August 2010, pp. 103-108
- Print publication:
- 2010
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- Article
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