Record Detail

Image of Analisis Portofolio Optimal Saham Menggunakan Model Markowitz dan Single Index (Studi Kasus pada LQ 45 Periode 2010)

Text

Analisis Portofolio Optimal Saham Menggunakan Model Markowitz dan Single Index (Studi Kasus pada LQ 45 Periode 2010)



Description Not Available



Availability

001281S 111136 IBN aPerpustakaan IBS (Rak Skripsi)Available but not for loan - Reference

Detail Information

Series Title
-
Call Number
S 111136 IBN a
Publisher STIE Indonesia Banking School : Jakarta.,
Collation
-
Language
Indonesia
ISBN/ISSN
-
Classification
658.07
Content Type
-
Media Type
-
Carrier Type
-
Edition
-
Subject(s)
Specific Detail Info
-
Statement of Responsibility

Other version/related

No other version available


File Attachment




    Information


    RECORD DETAIL


    Back To PreviousXML DetailCite this


    Perpustakaan

    Indonesia Banking School
    Info selengkapnya