DAUD, NORZAIDI BIN MOHD (2002) Effectiveness Of The Extended Mean-Variance Model Using Fuzzy Approach For Portfolio Selection In Malaysian Stock Marke. Business & Management Quarterly Review, 4 (1).
Full text not available from this repository.Metadata
Item Type: | Article |
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Journal or Publication Title: | Business & Management Quarterly Review |
PRISMA ID: | 5906 |
URI: | http://oarr.uitm.edu.my/id/eprint/4482 |