INDARWATI, Ervin; KUSUMAWATI, Rosita. Estimation of the Portfolio Risk from Conditional Value at Risk Using Monte Carlo Simulation. Jurnal Matematika, Statistika dan Komputasi, [S. l.], v. 17, n. 3, p. 370–380, 2021. DOI: 10.20956/j.v17i3.11340. Disponível em: https://journal.unhas.ac.id/index.php/jmsk/article/view/11340. Acesso em: 25 dec. 2024.