1.
Saputra W, Safitri I. Expansion of Stock Portfolio Risk Analysis Using Hybrid Monte Carlo-Expected Tail Loss. Jurnal Varian [Internet]. 26Apr.2022 [cited 28Dec.2024];5(2):149 -160. Available from: https://journal.universitasbumigora.ac.id/index.php/Varian/article/view/1813