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Fuzzy Logic in Finance

In: Fuzzy Business Models and ESG Risk

Author

Listed:
  • Anna Spoz

    (The John Paul II Catholic University of Lublin)

  • Magdalena Zioło

    (University of Szczecin)

Abstract

The purpose of this chapter is to indicate the possibilities of using the fuzzy approach in finance, particularly in the example of banking and crisis prevention. In particular, the fuzzy approach is described on a sample of essential processes such as risk management of financial institutions. The element of the original approach concerns not only the use of fuzzy logic itself but also the presentation of risk management from the perspective of financial risk and ESG risk.

Suggested Citation

  • Anna Spoz & Magdalena Zioło, 2023. "Fuzzy Logic in Finance," Palgrave Studies in Impact Finance, in: Magdalena Ziolo (ed.), Fuzzy Business Models and ESG Risk, chapter 0, pages 53-72, Palgrave Macmillan.
  • Handle: RePEc:pal:psifcp:978-3-031-40575-4_4
    DOI: 10.1007/978-3-031-40575-4_4
    as

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