Analisis Portofolio Syariah Optimal Menggunakan Model Mean Variance Efficient Portofolio (MVEP) Dengan Pendekatan Data Envelopment Analysis (DEA)
Penelitian ini membahas analisis portofolio syariah optimum menggunakan model Mean-Variannce Efficient Portofolio (MVEP) yang proses pemilihan sahamnya menggunakan Data Envelopment Analysis (DEA) dengan menggunakan kendala input (Standar Deviasi, Debt Earning Ratio, Book Value Share, Price Book Valu...
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Format: | Book |
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Universitas Islam Negeri Sunan Kalijaga Yogyakarta,
2016-04-01T00:00:00Z.
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Connect to this object online.3rd Floor Main Library
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A1234.567 |
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