Analisis Investasi dan Penentuan Portofolio Saham Optimal di Bursa Efek Jakarta (Studi Komparatif Penggunaan Model Indeks Tunggal dan Model Random pada Saham –Saham Indek LQ-45 Periode 1997-2000)
Henry Dwi Wahyudi(1*)(1) 
(*) Corresponding Author
Abstract
-
Full Text:
PDFArticle Metrics
Abstract view(s): 416 time(s)PDF: 208 time(s)
Refbacks
- There are currently no refbacks.