Tay, C. H., & Mohamad Zain, S. (2008). Pemilihan Terbaik Portfolio di Pasaran Saham Malaysia Menerusi Model Markowitz. Institute for Mathematical Research.
Chicago Style (17th ed.) CitationTay, Chin Hong, and Shaharir Mohamad Zain. Pemilihan Terbaik Portfolio Di Pasaran Saham Malaysia Menerusi Model Markowitz. Institute for Mathematical Research, 2008.
MLA (9th ed.) CitationTay, Chin Hong, and Shaharir Mohamad Zain. Pemilihan Terbaik Portfolio Di Pasaran Saham Malaysia Menerusi Model Markowitz. Institute for Mathematical Research, 2008.
Warning: These citations may not always be 100% accurate.