STEURER, E. R. Portfolio selection based on an volatility measure adjusted for irrationality. Archives of Business Research, [S. l.], v. 7, n. 6, p. 277–283, 2019. DOI: 10.14738/abr.76.6732. Disponível em: https://journals.scholarpublishing.org/index.php/ABR/article/view/6732. Acesso em: 29 apr. 2024.