Diavica, Vera (2008) Analisis pembentukan portofolio optimal saham sektor perbankan menggunakan single index model periode januari - desember 2000 di BEJ. S1 thesis, Universitas Mercu Buana.
Full text not available from this repository.Item Type: | Thesis (S1) |
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Call Number: | SE/08/276 |
NIM/NIDN Creators: | 03198-245 |
Uncontrolled Keywords: | portofolio |
Divisions: | Fakultas Ekonomi dan Bisnis > Manajemen |
Depositing User: | Admin Perpus UMB |
Date Deposited: | 08 Jan 2009 13:42 |
Last Modified: | 06 Jul 2017 03:22 |
URI: | http://repository.mercubuana.ac.id/id/eprint/37619 |
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