Rozmyte zbiory probabilistyczne jako narzędzie finansów behawioralnych

Abstract

The book is divided into five parts. The essence of behavioural finance is presented in the first parts. Fuzzy generalizations of some mathematical concepts are presented in the second part. The impact of selected behavioural premises for imprecise estimation of expected return is described in the third part. In the fourth part are considered financial instruments under uncertainty and imprecision risk. In the fifth part fuzzy probabilistic sets are applied for actuarial mathematics

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