Portfolio optimization by improved NSGA-II and SPEA 2 based...

Portfolio optimization by improved NSGA-II and SPEA 2 based on different risk measures

Kaucic, Massimiliano, Moradi, Mojtaba, Mirzazadeh, Mohmmad
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Volume:
5
Language:
english
Journal:
Financial Innovation
DOI:
10.1186/s40854-019-0140-6
Date:
December, 2019
File:
PDF, 1.69 MB
english, 2019
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