[1]
“ANALISIS VALUE AT RISK (VAR) DENGAN METODE HISTORIS DAN MONTE CARLO DALAM HARGA SAHAM SUB SEKTOR BANK”, JEBI, vol. 1, no. 6, pp. 668–675, Nov. 2025, Accessed: Feb. 01, 2026. [Online]. Available: https://ecosemica.net/index.php/ECONOMICA/article/view/51