• DocumentCode
    3773615
  • Title

    Portfolio Selection Strategies with Investor Psychology and Behavior under Fuzzy Random Environment

  • Author

    Wei Sun

  • Author_Institution
    Shandong Univ. at Weihai, Weihai, China
  • Volume
    2
  • fYear
    2015
  • Firstpage
    208
  • Lastpage
    211
  • Abstract
    Future return rate is affected by both of the subjective factors and objective factors. So fuzzy and random uncertainty are considered in portfolio selection problems simultaneously. By using fuzzy random variable to measure future return rate, a novel fuzzy random portfolio selection model with investor psychology and behavior is proposed. The model provide different investment strategies for different investors with different rational-emotional, optimistic-pessimistic and risk preference attitudes. Finally, a numerical example is put forward to illustrate the efficiency of the model.
  • Keywords
    "Portfolios","Numerical models","Psychology","Random variables","Uncertainty","Standards","Security"
  • Publisher
    ieee
  • Conference_Titel
    Computational Intelligence and Design (ISCID), 2015 8th International Symposium on
  • Print_ISBN
    978-1-4673-9586-1
  • Type

    conf

  • DOI
    10.1109/ISCID.2015.189
  • Filename
    7469116