Modeling the Gross Returns of the Big Four Banks’ Stocks in Indonesia Using a Generalized Linear Model (GLM) with the AIC, BIC, and Deviance Approaches. Prosperia: Journal of Economic Development, Accounting, and Global Markets, [S. l.], v. 1, n. 2, p. 207–217, 2026. DOI: 10.65310/kkzbkv88. Disponível em: https://sovereignresearch.org/prosperia/article/view/135. Acesso em: 3 jul. 2026.