[1]
A. S. Ahmar, W. Wahyuni, A. Triutomo, A. Rahman, and M. Tabash, “Cross-Sectoral Portfolio Optimization in Emerging Markets: Value at Risk Assessment of Indonesian Consumer and Financial Stocks”, Quant. Econ. Manag. Stud., vol. 6, no. 1, pp. 88–98, Feb. 2025.