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Image of Analisis Perbedaan Tingkat Expected Return dan Risiko Saham Individu dalam Portfolio Optimal Melalui Diversifikasi Jangka Waktu Kepemilikan (Studi Kasus pada 20 Most Active Stock by Trading Value di BEI Periode 2006 - 2009)

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Analisis Perbedaan Tingkat Expected Return dan Risiko Saham Individu dalam Portfolio Optimal Melalui Diversifikasi Jangka Waktu Kepemilikan (Studi Kasus pada 20 Most Active Stock by Trading Value di BEI Periode 2006 - 2009)



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000839S 111056 IRA aPerpustakaan IBS (Rak Skripsi)Available but not for loan - Reference

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Series Title
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Call Number
S 111056 IRA a
Publisher STIE Indonesia Banking School : Jakarta.,
Collation
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Language
Indonesia
ISBN/ISSN
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Classification
658.07
Content Type
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Media Type
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Carrier Type
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Edition
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Subject(s)
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Statement of Responsibility

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    Perpustakaan

    Indonesia Banking School
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