FANANI, Muhammad Rizal (2025) Pembentukan Portofolio Saham Menggunakan Capital Asset Pricing Model dan Mean Variance Efficient Portfolio serta Pengukuran Risiko Berbasis Simulasi Monte Carlo. Undergraduate thesis, UNDIP: Fakultas Sains dan Matematika.
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1. Cover.pdf Download (115kB) |
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3. Halaman Pengesahan I.pdf Download (305kB) |
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4. Halaman Pengesahan II.pdf Download (244kB) |
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5. Kata Pengantar.pdf Download (66kB) |
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6. Abstrak.pdf Download (66kB) |
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7. Abstract.pdf Download (125kB) |
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8. Daftar Isi.pdf Download (160kB) |
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12. BAB I.pdf Download (113kB) |
| Item Type: | Thesis (Undergraduate) |
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| Subjects: | Sciences and Mathemathic |
| Divisions: | Faculty of Science and Mathematics > Department of Statistics |
| Depositing User: | Yemima Laras Sekarsari |
| Date Deposited: | 12 Nov 2025 11:12 |
| Last Modified: | 12 Nov 2025 11:12 |
| URI: | https://eprints2.undip.ac.id/id/eprint/41041 |
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