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The study probes the flexibility dimension underpinning the asset allocation strategy and develops a system which has the capability to adapt itself dynamically to the changing preferences of the investors and the uncertainties of the market and at thesame time can leverage technology to make better foresight into the complex realities. The need of such a system has been accelerated by the ever-increasing competition to out-perform the market in an environment contaminated by fear from the trailing crisis and anxiety about the future sustainability. The authors engineered a multi-resolution convergence divergence indicator in...
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