SADEGHI, S. .; MARJANI, T. .; HASSANI, A. .; MORENO, J. Development of Optimal Stock Portfolio Selection Model in the Tehran Stock Exchange by Employing Markowitz Mean-Semivariance Model. Journal of Finance Issues, [S. l.], v. 20, n. 1, p. 47–71, 2022. Disponível em: https://jfi.aof-mbaa.org/index.php/jfi/article/view/3061. Acesso em: 26 sep. 2022.