ANALISIS KINERJA PORTOFOLIO OPTIMAL SAHAM LQ45 BERBASIS MEAN-VARIANCE RETURN (Periode Februari 2010-Januari 2015)

FAUZI, SAHLAN (2016) ANALISIS KINERJA PORTOFOLIO OPTIMAL SAHAM LQ45 BERBASIS MEAN-VARIANCE RETURN (Periode Februari 2010-Januari 2015). S2 thesis, Universitas Mercu Buana.

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Item Type: Thesis (S2)
Call Number CD: CD/551. 16 044
Call Number: TM/51/16/060
NIM/NIDN Creators: 55112120013
Uncontrolled Keywords: Portofolio Optimal, Imbal Hasil, Risiko, Kinerja Portofolio
Divisions: Pascasarjana > Magister Manajemen
Depositing User: Admin Perpus UMB
Date Deposited: 16 Mar 2016 09:49
Last Modified: 10 Nov 2023 04:06
URI: http://repository.mercubuana.ac.id/id/eprint/6407

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