MUNIZU, M.; MULYATI, S.; ZIKIRULLAEVA, N. PORTFOLIO DIVERSIFICATION STRATEGY AND ITS INFLUENCE ON INVESTMENT RISK AND RETURN IN THE CAPITAL MARKET. Multifinance, [S. l.], v. 1, n. 3, p. 211–220, 2024. DOI: 10.61397/mfc.v1i3.117. Disponível em: http://altinriset.com/journal/index.php/multifinance/article/view/117. Acesso em: 23 jan. 2025.