[1]
Magar, R.R. and B.K, G.B. 2025. An Empirical Analysis Of The Effect Of Stock Diversification on Portfolio Risk Optimization: Evidence From The Nepalese Share Market. Journal of Advanced Academic Research. 12, 1 (Oct. 2025), 75–85. DOI:https://doi.org/10.3126/jaar.v12i1.85148.