Munizu, Musran, Sri Mulyati, and Nilufar Zikirullaeva. “PORTFOLIO DIVERSIFICATION STRATEGY AND ITS INFLUENCE ON INVESTMENT RISK AND RETURN IN THE CAPITAL MARKET”. Multifinance 1, no. 3 (March 12, 2024): 211–220. Accessed July 2, 2025. https://altinriset.com/journal/index.php/multifinance/article/view/117.