ANALISIS PERBANDINGAN KINERJA PORTOFOLIO SAHAM PADA SEKTORAL PROPERTI DENGAN METODE PERHITUNGAN RISK ADJUSTED PERFORMANCE (Studi Kasus LQ45 Dan Kompas100) Periode 2013-2015

FAJAR, SEPTIO CIKAL (2016) ANALISIS PERBANDINGAN KINERJA PORTOFOLIO SAHAM PADA SEKTORAL PROPERTI DENGAN METODE PERHITUNGAN RISK ADJUSTED PERFORMANCE (Studi Kasus LQ45 Dan Kompas100) Periode 2013-2015. S1 thesis, Universitas Mercu Buana.

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Item Type: Thesis (S1)
Call Number CD: FE/MJ. 16 101
NIM/NIDN Creators: 43113120259
Uncontrolled Keywords: NALISIS PERBANDINGAN KINERJA PORTOFOLIO SAHAM PADA SEKTORAL PROPERTI DENGAN METODE PERHITUNGAN RISK
Divisions: Fakultas Ekonomi dan Bisnis > Manajemen
Depositing User: Admin Perpus UMB
Date Deposited: 23 Feb 2016 14:55
Last Modified: 23 Mar 2022 03:54
URI: http://repository.mercubuana.ac.id/id/eprint/3268

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