SORAYA, DHINA NOOR (2013) ESTIMASI RESIKO HARGA SAHAM DENGAN MENGGUNAKAN VALUE AT RISK PADA PT. BANK MANDIRI (PERSERO), TBK. S1 thesis, Universitas Mercu Buana Jakarta.
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| Item Type: | Thesis (S1) |
|---|---|
| Call Number CD: | FE/MJ. 13 109 |
| Call Number: | SE/31/13/109 |
| NIM/NIDN Creators: | 43108110189 |
| Uncontrolled Keywords: | BMRI, Value at Risk, Variance Covariance, Resiko Harga Saham |
| Subjects: | 200 Religion/Agama > 290 Other Religions/Agama Selain Kristen > 297 Agama Islam/Islam > 297.4 Islamic law/Hukum Islam > 297.43 Muamalat/Muamalat > 297.434 Company/Perseroan 300 Social Science/Ilmu-ilmu Sosial > 330 Economics/Ilmu Ekonomi > 332 Financial Economics, Finance/Ekonomi Keuangan dan Finansial, Ekonomi Biaya dan Pembiayaan > 332.1 Banks/Bank, Perbankan |
| Divisions: | Fakultas Ekonomi dan Bisnis > Manajemen |
| Depositing User: | Admin Perpus UMB |
| Date Deposited: | 18 Jul 2013 13:26 |
| Last Modified: | 28 Mar 2026 03:02 |
| URI: | http://repository.mercubuana.ac.id/id/eprint/16230 |
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