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Image of Perbandingan Metoda Value at Risk antara Metoda Risk Metric, Historical Back simulation, dan Monte Carlo simulation dalam Rangka Memprediksi Risiko Investasi Pada Saham Properti periode 2008 – 2014

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Perbandingan Metoda Value at Risk antara Metoda Risk Metric, Historical Back simulation, dan Monte Carlo simulation dalam Rangka Memprediksi Risiko Investasi Pada Saham Properti periode 2008 – 2014



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007125T 1116016 HAN pPerpustakaan IBS (Rak Tesis)Available but not for loan - Reference

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Series Title
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Call Number
T 1116016 HAN p
Publisher Program Magister Manajemen STIE Indonesia Banking School : Jakarta.,
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Language
Indonesia
ISBN/ISSN
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Classification
658.07
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Edition
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Statement of Responsibility

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    Perpustakaan

    Indonesia Banking School
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