Khairuddin, A. B. (2024). Portfolio optimisation for Malaysian Top 30 and Mid 70 assets using Mean-Mad model / Ahmad Bazli Khairuddin, Muhammad Mukhlis Kamarul Zaman and Mohd Azdi Maasar. Universiti Teknologi MARA, Negeri Sembilan.
Chicago Style CitationKhairuddin, Ahmad Bazli. Portfolio Optimisation for Malaysian Top 30 and Mid 70 Assets Using Mean-Mad Model / Ahmad Bazli Khairuddin, Muhammad Mukhlis Kamarul Zaman and Mohd Azdi Maasar. Universiti Teknologi MARA, Negeri Sembilan, 2024.
MLA CitationKhairuddin, Ahmad Bazli. Portfolio Optimisation for Malaysian Top 30 and Mid 70 Assets Using Mean-Mad Model / Ahmad Bazli Khairuddin, Muhammad Mukhlis Kamarul Zaman and Mohd Azdi Maasar. Universiti Teknologi MARA, Negeri Sembilan, 2024.
Warning: These citations may not always be 100% accurate.