On the possibilistic mean value and variance of multiplication of fuzzy numbers
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摘要
In this paper, we introduce the definitions of the possibilistic mean, variance and covariance of multiplication of fuzzy numbers, and show some properties of these definitions. Then, we apply these definitions to build the possibilistic models of portfolio selection under the situations involving uncertainty over the time horizon, by considering the portfolio selection problem from the point of view of possibilistic analysis. Moreover, numerical experiments with real market data indicate that our approach results in better portfolio performance.
论文关键词:Multiplication of fuzzy numbers,Possibilistic mean value,Possibilistic variance,Portfolio selection
论文评审过程:Received 23 September 2008, Revised 19 February 2009, Available online 24 June 2009.
论文官网地址:https://doi.org/10.1016/j.cam.2009.06.016