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04061nam a22005535i 4500 |
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151007s2015 gw | s |||| 0|eng d |
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|a 9783319211589
|9 978-3-319-21158-9
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|a 10.1007/978-3-319-21158-9
|2 doi
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|a HD30.23
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|a KJT
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|a BUS049000
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|a 658.40301
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|a Multiple Criteria Decision Making in Finance, Insurance and Investment
|h [electronic resource] /
|c edited by Minwir Al-Shammari, Hatem Masri.
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|a Cham :
|b Springer International Publishing :
|b Imprint: Springer,
|c 2015.
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300 |
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|a XIV, 272 p. 33 illus., 13 illus. in color.
|b online resource.
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|a text
|b txt
|2 rdacontent
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|a computer
|b c
|2 rdamedia
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|a online resource
|b cr
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|a text file
|b PDF
|2 rda
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|a Multiple Criteria Decision Making
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|a Multiple Criteria in Islamic Portfolio Selection -- Multiple Criteria Decision Making and Goal Programming for Optimal Venture Capital Investments and Portfolio Management -- On Dynamic Multiple Criteria Decision Making Models: A Goal Programming Approach -- Cross-frontier DEA methodology to evaluate the relative performance of stock and mutual insurers: Comprehensive analysis -- Canadian Socially Responsible Investment Mutual Funds Performance Evaluation Using Data Envelopment Analysis -- Scalarization Methods in Multicriteria Optimization, Robustness, Risk Theory and Finance -- The Multiobjective Nature of Bonus-Malus Sys-tems in Insurance Companies -- A new Fitness Guided Crossover Operator and its application for solving the Constrained Portfolio Selection Problem -- BOCR Analysis: a Framework for Forming Portfolio of Developing Projects -- VIKOR method with an application to borrowing terms selection -- Mutual Funds’ Socially Responsible Portfolio Selection with Fuzzy Data -- Auditing and Game theory: A survey.
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|a This book is devoted to recent developments and applications of multiple criteria decision aid tools in the field of finance, insurance and investment. It illustrates recent methods and procedures designed to solve problems related to finance, insurance and portfolio selection formulated through a mathematical programming framework and for which a large number of conflicting and incommensurable objectives (criteria, attributes) is simultaneously optimized. The book introduces researchers and practitioners to recent theoretical and methodological developments in multi-attributes portfolio selection, multiple criteria analysis in finance, insurance and investment. It is based on selected and invited papers presented and discussed at the 2013 International Conference on Multidimensional Finance, Insurance and Investment (ICMFII’13), held at the College of Business Administration at the University of Bahrain from 25th to 27th November 2013 with the co-sponsorship of the International Society on Multiple Criteria Decision Making and the Institute for Operations Research and the Management Sciences - MCDM section.
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650 |
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|a Business.
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650 |
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|a Operations research.
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650 |
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|a Decision making.
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650 |
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|a Finance.
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650 |
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|a Personal finance.
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650 |
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|a Pension plans.
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650 |
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|a Management science.
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650 |
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|a Business and Management.
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650 |
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4 |
|a Operation Research/Decision Theory.
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650 |
2 |
4 |
|a Operations Research, Management Science.
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650 |
2 |
4 |
|a Finance, general.
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650 |
2 |
4 |
|a Wealth Management/Pension Planning.
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700 |
1 |
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|a Al-Shammari, Minwir.
|e editor.
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700 |
1 |
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|a Masri, Hatem.
|e editor.
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710 |
2 |
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|a SpringerLink (Online service)
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773 |
0 |
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|t Springer eBooks
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776 |
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8 |
|i Printed edition:
|z 9783319211572
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830 |
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|a Multiple Criteria Decision Making
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856 |
4 |
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|u http://dx.doi.org/10.1007/978-3-319-21158-9
|z Full Text via HEAL-Link
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912 |
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|a ZDB-2-SBE
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950 |
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|a Business and Economics (Springer-11643)
|