Siagian, Melvin Brata Fran, author
Pengujian korelasi return saham perbankan sebagai indikator risiko sistemik di indonesia = The banking s stock return correlations as an indicator of systemic risk in indonesia / Siagian, Melvin Brata Fran
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2014
 UI - Tesis (Membership)
Adiguna Ali Putra, author
Analisis tingkat likuiditas return dan risiko sistematik saham pada bursa efek Indonesia 2009 - 2012 = Analysis of liquidity level return and systematic risk of stock at Indonesia stock exchanges 2009-2012
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2013
 UI - Skripsi (Membership)
Dwipa Nugraha, author
Perbandingan portofolio optimal menggunakan seleksi graham dengan portofolio optimal markowitz terhadap saham-saham LQ45 di Bursa Efek Indonesia = Comparison of optimal portfolio using graham selection with optimal portfolio markowitz on LQ45-Shares in Indonesia Stock Exchange
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2010
 UI - Tesis (Open)
Muslikhin B. Ridwan, author
Analisis portofolio optimal dengan metode markowitz metode graham dan single index model studi kasus pada saham indeks lq45 dan saham indeks bisnis 27 di bursa efek indonesia = Optimal portfolio analysis using markowitz method graham and single index model case study at lq45 stock index and bisnis 27 stock index in the indonesia stock exchange
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2014
 UI - Tesis (Membership)
Manulang, Mario Paulus, author
Optimalisasi kinerja portofolio investasi di Indonesia = Optimize investment portfolio performance in Indonesia
2012
 UI - Tesis (Open)
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