Ditemukan 24077 dokumen yang sesuai dengan query
Chandra, Prasanna
New Delhi : Tata McGraw-Hill , 1994
332.6 CHA i
Buku Teks Universitas Indonesia Library
Ellis, Charles D.
Chicago: Irwin Professional Publishing , 1993
332.6 ELL i
Buku Teks Universitas Indonesia Library
Cohen, Jerome B.
Homewood, Illinois : Richard D. Irwin, 1987
332.6 COH i
Buku Teks Universitas Indonesia Library
Elton, Edwin J.
New York: John Wiley & Sons, 1984
332.6 ELT m (1)
Buku Teks Universitas Indonesia Library
Haugen, Robert A.
Upper Saddle River, New Jersey : Prentice-Hall, 1997
332.6 HAU m
Buku Teks Universitas Indonesia Library
Haugen, Robert A.
Englewood Cliffs, New Jersey : Prentice-Hall, 1990
332.6 HAU m
Buku Teks Universitas Indonesia Library
New Jersey: Wiley, 2014
332.6 MOD
Buku Teks Universitas Indonesia Library
"An excellent resource for investors, Modern Portfolio Theory and Investment Analysis, 9th Edition examines the characteristics and analysis of individual securities as well as the theory and practice of optimally combining securities into portfolios. A chapter on behavioral finance is included, aimed to explore the nature of individual decision making. A chapter on forecasting expected returns, a key input to portfolio management, is also included. In addition, investors will find material on value at risk and the use of simulation to enhance their understanding of the field."
Hoboken, New Jersey: Wiley , 2014
332.6 ELT m
Buku Teks Universitas Indonesia Library
Manulang, Mario Paulus
"Tesis ini membahas tentang optimalisasi kinerja suatu portofolio investasi di Indonesia. Dalam melakukan investasi, investor disarankan untuk tidak melakukan spekulasi dan mempunyai pengetahuan yang cukup tentang berbagai instrumen investasi. Dengan memahami prinsip ?jangan menaruh telur dalam satu keranjang?, dengan maksud agar investor jangan menempatkan dana yang akan diinvestasikan ke dalam satu aset investasi saja tapi lebih dari satu, diharapkan investor dapat mengurangi risiko investasinya. Dengan melakukan seleksi instrumen investasi model Markowitz, diperoleh hasil portofolio yang optimal yang dapat digunakan investor sebagai strategi dalam berinvestasi.
This thesis is presenting optimize the performance of investment portfolio in Indonesia. In investing, investor should not to speculate and they should have knowledge widely about various investment instruments. By knowing principle of ?don?t put the eggs in one basket?, in other words, when investor invest their funds, invest them in many investment forms, by expecting investor could reduce their investement risks. By selecting instrument of Markowitz investment?s model, resulted optimum portfolio that investor could use as strategy in investment."
2012
T32254
UI - Tesis Open Universitas Indonesia Library
Reilly, Frank K.
Fort Worth: The Dryden Press, 1997
332.6 REI i (1)
Buku Teks Universitas Indonesia Library