Fuzzy MCDM Approach for NASDAQ Portfolio Selection: Balancing Risk and Return. MSW Management Journal, [S. l.], v. 36, n. 1s, p. 2377–2379, 2026. DOI: 10.7492/8zqbz243. Disponível em: https://mswmanagementj.com/index.php/home/article/view/2601.. Acesso em: 22 jun. 2026.