Portfolio Decision Analysis With a Generalized Balance Approach

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Date

2022-06

Authors

Özpeynirci, Selin
Özpeynirci, Özgür

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Volume Title

Publisher

Pergamon-Elsevier Science Ltd

Open Access Color

Green Open Access

Yes

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No
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Abstract

We consider a resource allocation problem in which the decision maker is responsible for selecting a group of projects to generate a portfolio, with the aim of maximizing the total benefit, and distributing the budget in a balanced way across different categories. We assume that the decision maker defines an interval for the desired share of each category. We propose augmented epsilon-constraint method to generate the nondominated solutions considering two objective functions: total benefit and balance among categories. The solution time increases with the problem size, and augmented epsilon-constraint method fails to find all nondominated solutions. We therefore develop a variable neighborhood search algorithm for the purpose of generating the nondominated frontier. Our computational experiments show that the nondominated frontier can be accurately estimated with respect to different performance measures.

Description

Keywords

Portfolio selection, Augmented epsilon-constraint method, Variable neighborhood search, Research-And-Development, Variable Neighborhood Search, Support System, Information, Augmented ε-Constraint Method, Portfolio theory, augmented \(\varepsilon \)-constraint method, portfolio selection, Approximation methods and heuristics in mathematical programming, variable neighborhood search

Fields of Science

0211 other engineering and technologies, 0202 electrical engineering, electronic engineering, information engineering, 02 engineering and technology

Citation

WoS Q

Q1

Scopus Q

Q1
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OpenCitations Citation Count
2

Source

Computers & Operatıons Research

Volume

142

Issue

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CrossRef : 2

Scopus : 3

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Mendeley Readers : 14

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3

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3

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4

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