Risiko dan return: Analisis Pembentukan Portofolio Saham Berdasarkan Peringkat Diviasi Standar dan beta Periode 2006-2011
The basic principle of financial science states that in an efficient market, investors will get a return of investment that is higher than the average by taking a risk that is higher than average. However, Baker, et al. (2011) in their research on U.S. stocks in the period 1968-2008 found that long-...
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Format: | Thesis |
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[Yogyakarta] : Universitas Gadjah Mada
2013
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