[1]
D. Pavlović, B. Korenak, i N. Stakić, „ENHANCING RISK-ADJUSTED RETURNS FOR RETAIL INVESTORS: AN EXPLORATION OF DUAL MOMENTUM STRATEGIES IN GLOBAL SECTOR ETF INVESTING“, ejae, vol 22, izd. 1, str. 118–129, Apr. 2025, doi: 10.5937/ejae22-56020.