[1]
R. Kumari, D. V. Agarwal, and D. M. Singh, “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”, IJAIML, vol. 6, no. 9s, pp. 1069–1082, Sep. 2026.