Request a copy

    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.
    [thumbnail of S_MTK_1006469_Chapter4.pdf] Text
    S_MTK_1006469_Chapter4.pdf
    Restricted to Staf Perpustakaan

    529kB
    Required Email address
    +
    -
    Enter your email address.
    Reason
    +
    -
    You may enter a rationale for requesting this document.