(1)
Evaluation of Financial Models for Portfolio Optimization in Nigeria’s Non-Interest Real Estate Sector: Integrating Mean-Variance Optimization, the Capital Asset Pricing Model, and Value-at-Risk Analysis. Proc. Nig. Soc. Phys. Sci. 2026, 3, 294. https://doi.org/10.61298/pnspsc.2026.3.294.