Sard S.

S. Sard

Information about the author S. Sard will soon be added to the site.
Found 2 papers in total
An approach to the problem of portfolio selection
1996
In this study we attempt to model a classical problem in the literature of finance,...
Asset liability management in bank portfolios with fuzzy linear programming
2003
In this paper we develop a model of asset liability management for banking companies...
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