Analisis Portofolio Optimal Saham Syariah Menggunakan Multi Index Models (Periode: 04 Januari 2010 - 1 Juli 2013)
The portfolio is a combination or aggregation of two or more individual stock and concern for investors is to form the optimum portfolio and one of the ways that can be used are Multi-Index Models (MIM). This Model is a development of the Single Index Models (SIM), if on a SIM only consider one fact...
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Aineistotyyppi: | Kirja |
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Universitas Islam Negeri Sunan Kalijaga Yogyakarta,
2013-10-01T00:00:00Z.
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