FAHMI, M. S.; GEETHA, C.; MOHIDIN, R. Measuring the Systematic Risk Factors in Malaysia Stock Market Returns: A Principal Component Analysis Approach. Malaysian Journal of Business and Economics (MJBE), [S. l.], v. 6, n. 1, p. 53, 2019. DOI: 10.51200/mjbe.v0i0.1936. Disponível em: https://jurcon.ums.edu.my/ojums/index.php/mjbe/article/view/1936. Acesso em: 16 may. 2024.