Kaucic, M., Moradi, M., & Mirzazadeh, M. (2019). Portfolio optimization by improved NSGA-II and SPEA 2 based on different risk measures. SpringerOpen.
Chicago Style (17th ed.) CitationKaucic, Massimiliano, Mojtaba Moradi, and Mohmmad Mirzazadeh. Portfolio Optimization by Improved NSGA-II and SPEA 2 Based on Different Risk Measures. SpringerOpen, 2019.
MLA (9th ed.) CitationKaucic, Massimiliano, et al. Portfolio Optimization by Improved NSGA-II and SPEA 2 Based on Different Risk Measures. SpringerOpen, 2019.
Warning: These citations may not always be 100% accurate.