Abdul Aziz, A. N., Ithnin, F. N., & Ariff, N. A. (2018). Portfolio Optimisation for Malaysia's Top 30 and Mid 70 Risky Asset using Mean-Variance Model / Aidah Najihah Abdul Aziz, Farah Najihah Ithnin and Nurin Adriana Ariff.
Chicago Style (17th ed.) CitationAbdul Aziz, Aidah Najihah, Farah Najihah Ithnin, and Nurin Adriana Ariff. Portfolio Optimisation for Malaysia's Top 30 and Mid 70 Risky Asset Using Mean-Variance Model / Aidah Najihah Abdul Aziz, Farah Najihah Ithnin and Nurin Adriana Ariff. 2018.
MLA (9th ed.) CitationAbdul Aziz, Aidah Najihah, et al. Portfolio Optimisation for Malaysia's Top 30 and Mid 70 Risky Asset Using Mean-Variance Model / Aidah Najihah Abdul Aziz, Farah Najihah Ithnin and Nurin Adriana Ariff. 2018.
