Record Detail
Text
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
Description Not Available
Availability
007125 | T 1116016 HAN p | Perpustakaan IBS (Rak Tesis) | Available but not for loan - Reference |
Detail Information
Series Title |
-
|
---|---|
Call Number |
T 1116016 HAN p
|
Publisher | Program Magister Manajemen STIE Indonesia Banking School : Jakarta., 2016 |
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