Kumari, R., Agarwal, D. V. and Singh, D. M. (2026) “ESG-Informed Portfolio Allocation and Risk–Return Analysis: A Python-Based Comparison of 3:2:1 And 60:40 Strategies For Retail Investors in India”, International Journal of Artificial Intelligence and Machine Learning, 6(9s), pp. 1069–1082. Available at: https://www.svedbergopen.com/index.php/ijaiml/article/view/1568 (Accessed: 6 September 2026).