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Pembentukan Portofolio Saham Menggunakan Capital Asset Pricing Model dan Mean Variance Efficient Portfolio serta Pengukuran Risiko Berbasis Simulasi Monte Carlo

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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Item Type: Thesis (Undergraduate)
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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