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Penentuan Bobot Portofolio Mean-Value at Risk dan Pengukuran Risiko dengan Metode Simulasi Monte-Carlo pada Investasi Saham

FERYANSYAH, Nanda Rahma (2025) Penentuan Bobot Portofolio Mean-Value at Risk dan Pengukuran Risiko dengan Metode Simulasi Monte-Carlo pada Investasi Saham. Undergraduate thesis, UNDIP: Fakultas Sains dan Matematika.

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Item Type: Thesis (Undergraduate)
Subjects: Sciences and Mathemathic
Divisions: Faculty of Science and Mathematics > Department of Statistics
Depositing User: Yemima Laras Sekarsari
Date Deposited: 11 Nov 2025 11:09
Last Modified: 11 Nov 2025 11:09
URI: https://eprints2.undip.ac.id/id/eprint/40921

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