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Juhari, ismail
(2014)
PENGUKURAN VALUE AT RISK (VAR) PADA PORTOFOLIO DENGAN METODE BACK SIMULATION: Studi Kasus InvestasiPortofolio DAPEN PT PINDAD.
S1 thesis, Universitas Pendidikan Indonesia.
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S_MTK_1006469_Chapter4.pdf
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529kB
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