SURYAWATI, B. N.; WARDANI, L.; MUTTAQILLAH, M.; KUSMAYADI, I. OPTIMIZING PORTFOLIO RETURN WITH NAÏVE DIVERSIFICATION-BASED MODELLING. JMM UNRAM - MASTER OF MANAGEMENT JOURNAL, [S. l.], v. 10, n. 1, p. 15–31, 2021. DOI: 10.29303/jmm.v10i1.646. Disponível em: http://jmm.unram.ac.id/index.php/jurnal/article/view/646. Acesso em: 4 may. 2024.