PRATIWI, R. G.; SETIAWAN, R. . Analysis of Value at Risk Measurement Using The Variance-Covariance Method in The Securities Portfolio. Jurnal Indonesia Sosial Teknologi, [S. l.], v. 5, n. 01, p. 198–206, 2024. DOI: 10.59141/jist.v5i01.868. Disponível em: https://jist.publikasiindonesia.id/index.php/jist/article/view/868. Acesso em: 26 dec. 2024.