Halim, Martin (1998) Perhitungan resiko pasar beta (B) serta aplikasinya pada perhitungan faktor discount perusahaan publik di sektor properti dan real estat Bursa Efek Jakarta. Masters thesis, UNIVERSITAS TARUMANAGARA.
Full text not available from this repository.Abstract
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Item Type: | Thesis (Masters) |
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Subjects: | Tesis > Pascasarjana |
Divisions: | Pascasarjana |
Depositing User: | Puskom untar untar |
Date Deposited: | 22 Oct 2018 08:29 |
Last Modified: | 22 Oct 2018 08:29 |
URI: | http://repository.untar.ac.id/id/eprint/8956 |
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