ZHOU, Xintong. From Theory to Practice: Applying the Markowitz Model in Stock Portfolio Management under ESG. International Journal of Global Economics and Management, London, U.K., v. 2, n. 3, p. 369–385, 2024. DOI: 10.62051/IJGEM.v2n3.44. Disponível em: https://wepub.org/index.php/IJGEM/article/view/1435. Acesso em: 29 may. 2026.