Portofolio Markowitz: Uji Optimal Holding Period Dan Kinerja Portofolio Berdasarkan Kriteria Risiko Dan Target Return
Jurnal Manajemen Indonesia
doi 10.25124/jmi.v15i2.710
Full Text
Open PDFAbstract
Available in full text
Date
April 14, 2017
Authors
Publisher
Telkom University