Analisis portofolio optimum saham atas risk dan expected return pada 20 perusahaan manufaktur berkapitalisasi pasar terbesar di BEJ

Kurnia, Neneng (2005) Analisis portofolio optimum saham atas risk dan expected return pada 20 perusahaan manufaktur berkapitalisasi pasar terbesar di BEJ. S1 thesis, Universitas Mercu Buana.

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Item Type: Thesis (S1)
Call Number CD: Lantai III
Call Number: SE/05/444 KUR a
NIM/NIDN Creators: 03200-161
Uncontrolled Keywords: AKUNTANSI KOMERSIAL
Divisions: Fakultas Ekonomi dan Bisnis > Akuntansi
Depositing User: Admin Perpus UMB
Date Deposited: 27 Apr 2006 14:33
Last Modified: 06 Jul 2017 03:17
URI: http://repository.mercubuana.ac.id/id/eprint/36681

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