Guia docent Facultat d'Economia i Empresa |
català |
Direcció d'Empreses (2016) |
Assignatures |
INSTRUMENTS PER A LA DECISIÓ EN LA INCERTESA |
Fonts d'informació |
DADES IDENTIFICATIVES | 2023_24 |
Assignatura | INSTRUMENTS PER A LA DECISIÓ EN LA INCERTESA | Codi | 16665213 | |||||
Ensenyament |
|
Cicle | 1r i 2n | |||||
Descriptors | Crèd. | Tipus | Curs | Període | ||||
3 | Optativa | Primer | 2Q |
Competències | Resultats d'aprenentage | Continguts |
Planificació | Metodologies | Atenció personalitzada |
Avaluació | Fonts d'informació | Recomanacions |
Bàsica | |
Bellman, R. E. y Zadeh, L. A. (1970): “Decision Making in a fuzzy environment”. Management Sciences, N. 5. Buckley, J. J. (1992): “Solving fuzzy equations”. Fuzzy Sets and Systems, N. 50, pp. 1-14. Buckley, J. J. y Qu, Y. (1991): “Solving fuzzy equations: a new solution concept”. Fuzzy Sets and Systems, N. 39, pp. 291-301. Buckley, J. J. (1992): “Solving fuzzy equations in economics and finance”. Fuzzy Sets and Systems, N. 48, pp. 289-296. De Andrés, J. y Terceño, A. (2003): “Estimating a term structure of interest rates for fuzzy financial pricing by using fuzzy regression methods”. Fuzzy Sets and System, Vol. 139, N. 2. Deboeck, G.; Kohonen, T. (eds.) (1998): Visual explorations in finance: with selforganizing maps. London: Springer. Dubois, D. y Prade, H. (1980): Fuzzy Sets and Systems: Theory and Applications. Nueva York: Academic Press. Flórez-López, R.; Fernández-Fernández, J.M. (2008): Las redes neuronales artificiales:Fundamentos teóricos y aplicaciones prácticas. Oleiros: Netbiblo. Gil Aluja, J. (1997): Invertir en la incertidumbre. Madrid: Pirámide. Hilera, J.R.; Martínez, V.J. (1995): Redes neuronales artificiales: Fundamentos, modelos y aplicaciones. Madrid: Ra-ma. Kaufmann, A. y Gil Aluja, J. (1990): Las matemáticas del azar y de la incertidumbre. Madrid: Ceura. Kaufmann, A. y Gil Aluja, J. (1993): Técnicas especiales para la gestión de expertos. Vigo: Milladoiro. Kaufmann, A.; Gil Aluja, J. y Terceño, A. (1994): Matemática para la economía y la gestión de empresas. Barcelona: Foro Científico. Lai, Y. L y Hwang, C. L. (1992): Fuzzy mathematical programming. Berlín: Springer-Verlag. Li Calzi, M. (1990): “Towards a general setting for the fuzzy mathematics of finance”. Fuzzy Sets and Systems, N. 35, pp. 265-280. López Iturriaga, F.J.; Pastor Sanz, I. (2013): “Self-organizing maps as a tool to compare financial macroeconomic imbalances: The European, Spanish and German case”, The Spanish Review of Financial Economics, 11(2), pp. 69-84. Nunes, I.; Hernane, D.; Andrade, R.; Bartocci, L.H.; Franco dos Reis, S. (2017): Artificial Neural Networsk: A practical Course. Springer Ortí F.; Sáez J. y Terceño, A. (2002): “On the treatment of uncertainty in portfolio selection”. Fuzzy Economic Review, Vol. 7, N. 2, pp. 59-80. Rommelfanger, H.; Hanuscheck, R. y Wolf, J. (1989): “Linear programming with fuzzy objectives”. Fuzzy Sets and Systems, Vol. 29. Sakawa, M. y Yano, H. (1992): “Fuzzy regression and its applications”. En: Kacprzyk, J. y Fedrizzi, M. (eds.), Fuzzy regression analysis. Heildelberg: Physica-Verlag. Sorrosal, M.T.; Barberà, M.G.; Martinez, L.B.; Garbajosa, M.J. (2012): “Memory in Financial Time Series: Form Investor Behavior to Artificial Neural Networks”. En: Methods for Decision Making in an Uncertain Environment. World Scientific Proceedings Series on Computer Engineering and Information Science: Vol. 6. Tanaka, H. y Ishibuchi H. (1992): “A possibilistic regression analysis based on linear programming”. En: Kacprzyk, J. y; Fedrizzi, M. (eds.), Fuzzy regression analysis. Heildelberg: Physica-Verlag. Tkác, M., Verner, R. (2016): “Artificial neural networks in business: Two decades of research”, Applied Soft Computing, 38, 788-804. Terceño, A.; Lorenzana, T.; De Andrés, J. y Barberà, M. G. (2003): “Using fuzzy set theory in the choice of capital investments”. The International Journal of Uncertainty, Fuzziness and Knowledge-based Systems, Vol. 11, N. 3. Terceño, A.; De Andrés, J.; Barberà, M. G. y Lorenzana, T. (2001): “Investment Management in Uncertainty”. En: Gil Aluja, J. (ed.), Handbook of Management under Uncertainty, pp. 323-391. Dordrecht: Kluwer. Terceño, A.; Sorrosal, M.T.; Martinez, L.B.; Barberà, M.G. (2013): “Sovereign Bond Spreads Evolution in Latin American Countries”. En: Modelling and Simulation in Engineering, Economics, and Management. Lecture Notes in Business Information Processing. Vol. 145, pp. 171-180. Springer-Verlag. Yen, K. K.; Ghoshray, S. y Roig, G. (1999): “A linear regression model using triangular fuzzy number coefficients”. Fuzzy Sets and Systems, N. 106, pp. 167-177. Zadeh, L. (1965): "Fuzzy sets”. Information and Control, N. 8, pp. 338-353. Zimmermann, H. J. (1991): Fuzzy Set Theory and Its Applications. Dordrecht: Kluwer. |
|
Complementària | |