Fuzzy sets in management, economics and marketing
著者
書誌事項
Fuzzy sets in management, economics and marketing
World Scientific, c2001
大学図書館所蔵 件 / 全7件
-
該当する所蔵館はありません
- すべての絞り込み条件を解除する
注記
"This book is prepared on the occasion of the 7th international congress of SIGEF[International Association for Fuzzy-set Management and Economy], held in Chania, Greece, [2000]"--P. xi, "Editorial"
Includes bibliographical references and index
内容説明・目次
内容説明
The rapid changes that have taken place globally on the economic, social and business fronts characterized the 20th century. The magnitude of these changes has formed an extremely complex and unpredictable decision-making framework, which is difficult to model through traditional approaches. The main purpose of this book is to present the most recent advances in the development of innovative techniques for managing the uncertainty that prevails in the global economic and management environments. These techniques originate mainly from fuzzy sets theory. However, the book also explores the integration of fuzzy sets with other decision support and modeling disciplines, such as multicriteria decision aid, neural networks, genetic algorithms, machine learning, chaos theory, etc. The presentation of the advances in these fields and their real world applications adds a new perspective to the broad fields of management science and economics.
目次
- Decision making, management and marketing: algorithms for orderly structuring of financial "objects", J. Gil-Aluja
- a fuzzy goal programming model for evaluating a hospital service performance, M. Arenas et al
- a group decision making method using fuzzy triangular numbers, J.L. Garcia-Lapresta et al
- developing sorting models using preference disaggregation analysis - an experimental investigation, M. Doumpos and C. Zopounidis. Stock markets and portfolio management: the causality between interest rate, exchange rate and stock price in emerging markets - the case of the Jakarta stock exchange, J. Gupta et al
- fuzzy cognitive maps in stock market, D. Koulouriotis et al
- neural network vs linear models of stock returns - an application to the UK and German stock market indices, A. Kanas. Corporate finance and banking management: expertons and behaviour of companies with regard to the adequacy between business decisions and objectives, A. Couturier and B. Fioleau
- multiple fuzzy IRR in the financial decision environment, S.F. Gonzalez et al
- an automated knowledge generation approach for managing credit scoring problems, M. Michalopoulos et al
- and other papers.
「Nielsen BookData」 より