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Titlebook: Socially Responsible Investment; A Multi-Criteria Dec Enrique Ballestero,Blanca Pérez-Gladish,Ana Garcia Book 2015 Springer International P

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Portfolio Selection with SRI Synthetic Indicators: A Reference Point Method Approachdual preferences about different financial and socially responsible features of a particular investor. In order to do so, the first problem to be solved is the measurement of the degree of social responsibility of a financial asset. In this work we use a double reference point scheme to obtain synth
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Portfolio Selection by Compromise Programming set, which is the landing area on which the profitability-safety utility function reaches its maximum. From these variables, expected return and safety, the portfolio selection problem is defined in terms of CP.
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