portfolio theory

Tommi.Salminen/Merita.Financial.Markets.Research@dbai.tuwien.ac.at
Tue, 24 Mar 1998 01:16:32 +0100 (MET)

I am working as a financial markets analyst and I would be interested in using fuzzy theory in portfolio selection and optimizing. Any experiences or ideas, suggested reading etc.?

Thank You

Tommi Salminen
Merita Bank
+358 9 1655 9038