Expected value multiobjective portfolio rebalancing model with fuzzy parameters. Gupta, P., Mittal, G., & Mehlawat, M. K. Insurance Mathematics & Economics, 52(2):190--203, March, 2013.
bibtex   
@article{Gupta13c,
  author = {Pankaj Gupta and Garima Mittal and Mukesh Kumar Mehlawat},
  title = {{Expected value multiobjective portfolio rebalancing model with fuzzy parameters}},
  journal = {Insurance Mathematics \& Economics},
  volume = {52},
  number = {2},
  pages = {190--203},
  month = {March},
  year = {2013},
}

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