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Fuzzy Portfolio Optimization Theory and Methods

SKU: 9783540779254

Original price was: ₹10,313.97.Current price is: ₹8,251.17.

Explore the cutting-edge of finance with “Fuzzy Portfolio Optimization Theory and Methods.” This comprehensive guide delves into advanced techniques for managing investment portfolios under uncertainty. Discover how fuzzy logic principles are applied to optimize asset allocation, risk management, and decision-making in complex financial markets. Ideal for academics, researchers, and finance professionals seeking to deepen their understanding of modern portfolio theory and its practical applications. Enhance your financial modeling capabilities and navigate the intricacies of investment strategy with this essential resource from “The Bookish Owl.”

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Description

  • ISBN-10: 3540779256
  • ISBN-13: 978-3540779254
  • Edition: First Edition
  • Publisher: Springer Verlag Germany
  • Publication date: 31 December 2003
  • Dimensions: 25.4 x 17.78 x 2.54 cm
  • Print length: 240 pages