Skip to content
Search
English
English
Deutsch
Polski
Español
Français
Italiano
Home
Journals
Applied Mathematics and Nonlinear Sciences
Volume 9 (2024): Issue 1 (January 2024)
Open Access
Portfolio Optimization Strategy Based on Risk Diffusion Model in Emerging Industry Development
Shuangqin Ni
Shuangqin Ni
Jiangsu Union Technical Institute
Nanjing, China
Search for this author on
Sciendo
|
Google Scholar
Ni, Shuangqin
and
Shen Wang
Shen Wang
Jiangsu Union Technical Institute
Nanjing, China
Search for this author on
Sciendo
|
Google Scholar
Wang, Shen
Jan 31, 2024
Applied Mathematics and Nonlinear Sciences
Volume 9 (2024): Issue 1 (January 2024)
About this article
Previous Article
Next Article
Abstract
References
Authors
Articles in this Issue
Preview
PDF
Cite
Share
Download Cover
Published Online:
Jan 31, 2024
Received:
Dec 15, 2023
Accepted:
Dec 21, 2023
DOI:
https://doi.org/10.2478/amns-2024-0110
Keywords
Emerging Industries
,
Risk Diffusion Model
,
Optimal Portfolio
,
Optimization Strategy
© 2024 Shuangqin Ni et al., published by Sciendo
This work is licensed under the Creative Commons Attribution 4.0 International License.