RUSLAINI RUSLAINI; MUHAMMAD RIZAL; SRI UTAMI NURHASANAH. Volatility Management in Multifactor Portfolios: A Literature Review on Risk-Return Dynamics and Strategic Investment Implications. Indonesian Economic Review, [S. l.], v. 5, n. 1, p. 12–23, 2025. DOI: 10.53787/iconev.v5i1.40. Disponível em: https://iconev.org/index.php/ier/article/view/40. Acesso em: 4 apr. 2025.