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"Setiawan, Arie Andika"
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VAR Portfolio Optimal: Perbandingan Antara Metode Markowitz dan Mean Absolute Deviation
by
Sartono, R. Agus
,
Setiawan
,
Arie Andika
Published in
Jurnal Siasat Bisnis
(23.04.2006)
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VAR Portfolio Optimal: Perbandingan Antara Metode Markowitz dan Mean Absolute Deviation
by
R. Agus Sartono
,
Arie Andika Setiawan
Published in
Jurnal Siasat Bisnis
(01.05.2009)
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VAR Portfolio Optimal: Perbandingan Antara Metode Markowitz dan Mean Absolute Deviation
by
R. Agus Sartono
,
Arie Andika Setiawan
Published in
Jurnal Siasat Bisnis
(01.05.2009)
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Journal Article
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VAR Portfolio Optimal: Perbandingan Antara Metode Markowitz dan Mean Absolute Deviation
by
R. Agus Sartono
,
Arie Andika Setiawan
Published in
Jurnal Siasat Bisnis
(01.05.2009)
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Journal Article
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Journal Article
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business
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Topic
portfolio management
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risk assessment
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standard deviation
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English
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ProQuest Central
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