Politická ekonomie 1998, 46(1) | DOI: 10.18267/j.polek.222
Modelování alokace financí firmy na bázi fuzzy množin
Modelling of company finance allocation on the basis of fuzzy sets
The problem of dynamic optimal allocation of firms finance assets is important decision process. With this importance corresponds an attention dedicated to it. In spite of fuzzy, concerning the allocation tasks this side of problem is usually leave out. The text describes general linear optimisation fuzzy model for the solution of dynamic optimal allocation tasks of company finance. The text branches out a mentioned model by fuzzy aspects.
Published: February 1, 1998 Show citation
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