Saputra, W. H. and Aqsari, H. W. (2025) “MODIFIED STATISTICAL-BASED VALUE AT RISK FOR MULTI-OBJECTIVE OPTIMAL-BASED PORTFOLIO ANALYSIS OF INDONESIAN STOCK RETURN DISTRIBUTION”, BAREKENG: Jurnal Ilmu Matematika dan Terapan, 20(1), pp. 0287-0298. doi: 10.30598/barekengvol20iss1pp0287-0298.