[1]
“Risk-Adjusted Performance Measures dalam Penilaian Kinerja Portofolio Investasi”, JIIC, vol. 3, no. 7, pp. 5259–5269, Jul. 2026, Accessed: Aug. 18, 2026. [Online]. Available: https://jicnusantara.com/index.php/jiic/article/view/7794