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Arif, Muhammad Fauzan
(2014)
PENGARUH RISIKO SISTEMATIS TERHADAP RETURN EKSPEKTASIAN PORTOFOLIO SAHAM :Studi Pada Perusahaan LQ45 di Bursa Efek Indonesia.
S1 thesis, Universitas Pendiudikan Indonesia.
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S_PEA_1002951_Chapter4.pdf
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310kB
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