Items where Author is "Maasar, Mohd Azdi"
Article
Portfolio optimisation for Malaysian Top 30 and Mid 70 assets using Mean-Mad model / Ahmad Bazli Khairuddin, Muhammad Mukhlis Kamarul Zaman and Mohd Azdi Maasar. (2024) Journal of Exploratory Mathematical Undergraduate Research (JEMUR). ISSN 3030-5411
Portfolio optimization of Malaysian assets with additional cardinality constraint / Muhammad Hazmi Zuraini … [et al.]. (2024) Journal of Exploratory Mathematical Undergraduate Research (JEMUR). ISSN 3030-5411
Monograph
Pameran poster projek pelajar tahun akhir bagi program CS241, CS248, CS249 dan CS290, Kampus Seremban / Zati Aqmar Zaharudin ... [et al.]. (2024) Bulletin. Academy of Language Studies, Universiti Teknologi MARA Negeri Sembilan Branch, Rembau Campus.
COVID-19 and political crisis effects on risk minimising portfolio for Malaysia’s stock markets using MEAN-CVAR optimization model / Amera Katrina Kornain ... [et al.]. (2022) Bulletin. UiTM Cawangan Negeri Sembilan.
Risk minimization for a portfolio using mean absolute deviation and conditional value-at-risk / Iylia Lyiana Rahim ... [et al.]. (2022) Bulletin. UiTM Cawangan Negeri Sembilan.
COVID-19 effects on risk minimising portfolio of transportation and logistics assets / Mohd Azdi Maasar ... [et al.]. (2021) Bulletin. UiTM Cawangan Negeri Sembilan.
Pembentangan dan penilaian projek tahun akhir matematik secara atas talian / Mohd Azdi Maasar. (2021) Bulletin. UiTM Cawangan Negeri Sembilan.