ET. AL., A. M. Mean- Adjusted Variance Model for Portfolio Optimization. Turkish Journal of Computer and Mathematics Education (TURCOMAT), [S. l.], v. 12, n. 5, p. 903–917, 2021. Disponível em: https://turcomat.org/index.php/turkbilmat/article/view/1733. Acesso em: 25 dec. 2024.