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"PORTOFOLIA OPTIMAL"
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Analisis portofolio optimal menggunakan model korelasi konstan ( Constant Correlation Model ) ( studi kasus : saham syariah di Jakarta Islamic Indexs (JII) periode 27 Agustus 2014-...
by
Agus Juniyanto
Published 2016
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PORTOFOLIA
OPTIMAL
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Analisis portofolio optimal menggunakan model Mean Variance Efficient Portofolio ( MVEP ) dengan pendekatan Data Envelopment Analysis (DEA) ( studi kasus : saham Jakarta Islamic In...
by
Laeli Nurani
Published 2016
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“
...analisi
portofolia
optimal
...
”
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Institution
Universitas Islam Negeri Sunan Kalijaga
2
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Skripsi
2
Author
Agus Juniyanto
1
Laeli Nurani
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Language
Indonesia
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