Pengukuran Resiko Portofolio dengan Mean-Var (artikel Jurnal Matematika Unand VII(1))

Ariadini, Citra and Yozza, Hazmira and Devianto, Dodi (2018) Pengukuran Resiko Portofolio dengan Mean-Var (artikel Jurnal Matematika Unand VII(1)). Jurnal Matematika Universitas Andalas, VII (2). pp. 24-32. ISSN 2303-2910

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Jurnal Mtk Unand Vol VII No. 1 Citra Ariadini.pdf

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Official URL: http://jmua.fmipa.unand.ac.id/
Item Type: Article
Subjects: Q Science > QA Mathematics
Divisions: Fakultas Matematika dan Ilmu Pengetahuan Alam > Matematika
Depositing User: Mrs Hazmira Yozza
Date Deposited: 08 Aug 2018 08:33
Last Modified: 08 Aug 2018 08:33
URI: http://repo.unand.ac.id/id/eprint/9892

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