[1]
Setiawan, E.P. and Rosadi, D. 2019. Model Pengoptimuman Portofolio Mean-Variance dan Perkembangan Praktisnya. Jurnal Optimasi Sistem Industri. 18, 1 (May 2019), 25–36. DOI:https://doi.org/10.25077/josi.v18.n1.p25-36.2019.