CAHYADIN, M.; RIESENDRA, L. A.; SARMIDI, T. Modeling Risk-Based Stock Portfolio: Evidence from Long Time Series. EQUITY: JURNAL EKONOMI, MANAJEMEN, AKUNTANSI, [S. l.], v. 28, n. 2, p. 174–200, 2025. DOI: 10.34209/equ.v28i2.11110. Disponível em: https://ejournal.upnvj.ac.id/equity/article/view/11110. Acesso em: 25 sep. 2026.