Pengaruh tingkat return variance (RVAR) & book to market ratio (BM) thd comulative abnormal return (AR) saham perusahaan nonsplitting di BEJ
Saved in:
Main Author: | <NUGRAHA, Atsa> |
---|---|
Format: | TEXT |
Published: |
UJB - E. Manajemen
|
Subjects: | |
Tags: |
Add Tag
No Tags, Be the first to tag this record!
|
Similar Items
-
Pengaruh ROI, current ratio & ukuran perusahaan thd return saham di BEJ
by: <ZUMROH, Zeti>
Published: () -
Dampak pengumuman deviden thd komulative abnormal return di BEJ
by: <HARWATI, Tian>
Published: () -
Pengaruh devident payout ratio & provitabilitas thd return saham perusahaan yg terdaftar di BEJ
by: <DARMANTO, Jamas>
Published: () -
Pengaruh dept to equity ratio (DER) return on equity (ROE) & resiko thd return saham pada perusahaan manufaktur yg terdaftar di BEJ
by: <SUMIRAT, Isnaini>
Published: () -
Analisis pengaruh current ratio & proce earning ratio thd return saham pd perusahaan manufaktur yg terdaftar di BEJ
by: <VEMINNIA, Ochida>
Published: ()