SUNARMI SUNARMI; SITI KHOLIFAH. Penerapan Metode Monte Carlo Simulation untuk Estimasi Risiko Portofolio Saham pada Pasar Modal Indonesia. Journal of New Trends in Sciences, [S. l.], v. 1, n. 4, p. 21–32, 2023. DOI: 10.59031/jnts.v1i4.782. Disponível em: https://jurnal.aksaraglobal.co.id/index.php/jnts/article/view/782. Acesso em: 24 jun. 2026.