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Sampling methods for investment portfolio formulation procedure at increased market volatility
Dzicher, Mateusz, (2021)
Constrained mean-variance portfolio optimization with alternative return estimation
Georgiev, Boris, (2013)
The model of upstream investment portfolio in the Mature regions
Artemkina, Liya R., (2019)
FMS selection based on area method under fuzzy environment
Mahapatra, S. S., (2010)
[Besprechung von:] Das, R. K.: Optimal investment planning. Rotterdam 1974
Steenge, A. E., (1978)
Mahapatra, Siba Sankar, (2010)