Pardede, RP and Siallagan, E (2007) Analisis Portofolio Optimum Saham Ditinjau Dari Expected Return Dan Risk Penalty Berdasarkan Model Markowitz Studi Kasus Pada Industri Telekomunikasi. Jurnal Ilmiah Kesatuan (JIK), 9 (2).
Full text not available from this repository.Item Type: | Article |
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Depositing User: | Admin Repository |
Date Deposited: | 16 Mar 2020 04:12 |
Last Modified: | 16 Mar 2020 04:12 |
URI: | http://repository.ibik.ac.id/id/eprint/555 |
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