Analisis dan penilaian portofolio optimal dari saham-saham LQ45 dengan Metode Single Index Model dan Constant Correlation Model

Sibuea, Rinaldi (2013) Analisis dan penilaian portofolio optimal dari saham-saham LQ45 dengan Metode Single Index Model dan Constant Correlation Model. Masters thesis, UNIVERSITAS TARUMANEGARA.

Full text not available from this repository.

Abstract

-

Item Type: Thesis (Masters)
Subjects: Tesis > Pascasarjana
Divisions: Pascasarjana
Depositing User: Puskom untar untar
Date Deposited: 16 Jul 2018 08:21
Last Modified: 16 Jul 2018 08:21
URI: http://repository.untar.ac.id/id/eprint/4342

Actions (login required)

View Item View Item