(2026). Evaluation of financial models for portfolio optimization in Nigeria’s non-interest real estate sector: Integrating mean-variance optimization, the capital asset pricing model, and Value-at-Risk analysis. Proceedings of the Nigerian Society of Physical Sciences.
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Chicago Style (17th ed.) Citation
"Evaluation of Financial Models for Portfolio Optimization in Nigeria’s Non-interest Real Estate Sector: Integrating Mean-variance Optimization, the Capital Asset Pricing Model, and Value-at-Risk Analysis."
Proceedings of the Nigerian Society of Physical Sciences 2026.
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MLA (9th ed.) Citation
"Evaluation of Financial Models for Portfolio Optimization in Nigeria’s Non-interest Real Estate Sector: Integrating Mean-variance Optimization, the Capital Asset Pricing Model, and Value-at-Risk Analysis."
Proceedings of the Nigerian Society of Physical Sciences, 2026.
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Warning: These citations may not always be 100% accurate.