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Metaheuristic Approaches to Portfolio Optimization

Metaheuristic Approaches to Portfolio Optimization

Copyright: © 2019 |Pages: 263
ISBN13: 9781522581031|ISBN10: 1522581030|EISBN13: 9781522581048|ISBN13 Softcover: 9781522592945
DOI: 10.4018/978-1-5225-8103-1
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MLA

Ray, Jhuma, et al., editors. Metaheuristic Approaches to Portfolio Optimization. IGI Global, 2019. https://doi.org/10.4018/978-1-5225-8103-1

APA

Ray, J., Mukherjee, A., Dey, S. K., & Klepac, G. (Eds.). (2019). Metaheuristic Approaches to Portfolio Optimization. IGI Global. https://doi.org/10.4018/978-1-5225-8103-1

Chicago

Ray, Jhuma, et al., eds. Metaheuristic Approaches to Portfolio Optimization. Hershey, PA: IGI Global, 2019. https://doi.org/10.4018/978-1-5225-8103-1

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Control of an impartial balance between risks and returns has become important for investors, and having a combination of financial instruments within a portfolio is an advantage. Portfolio management has thus become very important for reaching a resolution in high-risk investment opportunities and addressing the risk-reward tradeoff by maximizing returns and minimizing risks within a given investment period for a variety of assets.

Metaheuristic Approaches to Portfolio Optimization is an essential reference source that examines the proper selection of financial instruments in a financial portfolio management scenario in terms of metaheuristic approaches. It also explores common measures used for the evaluation of risks/returns of portfolios in real-life situations. Featuring research on topics such as closed-end funds, asset allocation, and risk-return paradigm, this book is ideally designed for investors, financial professionals, money managers, accountants, students, professionals, and researchers.

Table of Contents

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Front Materials
Title Page
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Copyright Page
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Advances in Information Quality and Management (AIQM) Book Series
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Foreword
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Preface
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Chapters
Back Materials
Compilation of References
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About the Contributors
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Index
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