Portofolio performance evaluation of Samuel sekuritas Indonesia during Januari-September 2002
Main Authors: | , UTAMI, Yannie, , Dr. Jogiyanto Hartono, MBA |
---|---|
Format: | Thesis |
Published: |
[Yogyakarta] : Universitas Gadjah Mada
2002
|
Subjects: |
Similar Items
-
The Usage of E-Business decision support systems concept in securities company :: A Case in PT Ciptadana sekuritas
by: , WARDHANA, Asoka, et al.
Published: (2006) -
Penilaian portofolio optimal menggunakan metoda value at risk (VaR) periode Januari 2007-Desember 2008
by: , SUTRISNO, Agatha Primasari, et al.
Published: (2009) -
Pengaruh diversifikasi portofolio kredit pada risiko bank umum terbuka di Indonesia
by: , KHARISMAWATI, Githa, et al.
Published: (2008) -
Analisis portofolio perusahaan multinasional dan domestik :: Bursa Efek Jakarta, Januari 1998 - Desember 2002
by: , APIDIYANTO, Widi, et al.
Published: (2003) -
Pengaruh beta dan price to book value terhadap return sekuritas portofolio perusahaan :: Studi pada perusahaan manufaktur di Bursa Efek Jakarta
by: , ANGGRIYANI, et al.
Published: (2002)