ANALISIS VALUE AT RISK (VAR) PORTOFOLIO OPTIMUM SAHAM SEKTOR AGRICULTURE SAAT TERJADINYA PASAR SAHAM BEARISH OKTOBER 2014 - SEPTEMBER 2015 (Studi Kasus Pada BEI)

Ramadhan, Ardiansyah (2016) ANALISIS VALUE AT RISK (VAR) PORTOFOLIO OPTIMUM SAHAM SEKTOR AGRICULTURE SAAT TERJADINYA PASAR SAHAM BEARISH OKTOBER 2014 - SEPTEMBER 2015 (Studi Kasus Pada BEI). S1 thesis, Universitas Mercu Buana.

[img]
Preview
Text (HAL COVER)
Cover.pdf

Download (429kB) | Preview
[img]
Preview
Text (ABSTRAK)
ABSTRAK.pdf

Download (176kB) | Preview
[img] Text (BAB I)
BAB I.pdf
Restricted to Registered users only

Download (84kB)
[img] Text (BAB II)
BAB II.pdf
Restricted to Registered users only

Download (1MB)
[img] Text (BAB III)
BAB III.pdf
Restricted to Registered users only

Download (893kB)
[img] Text (BAB IV)
BAB IV.pdf
Restricted to Registered users only

Download (1MB)
[img] Text (BAB V)
BAB V.pdf
Restricted to Registered users only

Download (20kB)
[img] Text (DAFTAR PUSTAKA DAN LAMPIRAN)
DAFTAR PUSTAKA _ LAMPIRAN.pdf
Restricted to Registered users only

Download (658kB)
Item Type: Thesis (S1)
Call Number CD: FE/MJ. 16 188
NIM/NIDN Creators: 43112010250
Uncontrolled Keywords: Analisis, Value At Risk, VAR, Portofolio Optimum, Saham, Agrikultur, Pasar Saham, Bearish, Oktober,
Divisions: Fakultas Ekonomi dan Bisnis > Manajemen
Depositing User: Admin Perpus UMB
Date Deposited: 10 Mar 2016 15:13
Last Modified: 08 Mar 2022 10:50
URI: http://repository.mercubuana.ac.id/id/eprint/3481

Actions (login required)

View Item View Item