Multi-period Portfolio Selection Models with Uncertain Returns

来源 :第八届中国不确定系统年会暨第十二届中国青年信息与管理学者大会 | 被引量 : 0次 | 上传用户:aspxcss
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  This paper discusses portfolio selection problem when security returns are uncertain variables.Considering the real investment is a multi-period process, we propose multi-period mean-variance and mean semivariance models.Then we give the crisp forms of the multi-period mean-variance model with security returns all being uncertain linear or normal variables respectively.In addition, a hybrid intelligent algorithm based on 99 methods is also designed for the optimization problem in general cases.Finally, two numerical examples are given to illustrate the modeling idea.
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