OPTIMIZING PORTFOLIO RETURN WITH NAÏVE DIVERSIFICATION-BASED MODELLING
DOI:
10.29303/jmm.v10i1.646Published:
2021-03-23Issue:
Vol. 10 No. 1 (2021): JMM Maret 2021Articles
Downloads
How to Cite
Suryawati, B. N., Wardani, L., Muttaqillah, M., & Kusmayadi, I. (2021). OPTIMIZING PORTFOLIO RETURN WITH NAÏVE DIVERSIFICATION-BASED MODELLING. JMM UNRAM - MASTER OF MANAGEMENT JOURNAL, 10(1), 15–31. https://doi.org/10.29303/jmm.v10i1.646