ANALISIS DAN PENGUJIAN TIGA METODE VALUE AT RISK PADA PORTFOLIO SAHAM DI INDONESIA DAN AMERIKA (CASE STUDY: PT. DONGSUH SECURITIES, getdate())

Main Author: ANDREYONO SANJAYA, VICKY
Format: Thesis NonPeerReviewed pdf
Bahasa: eng
Terbitan: , 2009
Subjects:
Online Access: http://eprints.binus.ac.id/9780/1/Abstrak_09-209.pdf
http://eprints.binus.ac.id/9780/
http://library.binus.ac.id/Collections/ethesis_detail.aspx?ethesisid=TS-CS-2009-0209
ctrlnum 9780
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language eng
format Thesis:Thesis
Thesis
PeerReview:NonPeerReviewed
PeerReview
Other:pdf
Other
author ANDREYONO SANJAYA, VICKY
title ANALISIS DAN PENGUJIAN TIGA METODE VALUE AT RISK PADA PORTFOLIO SAHAM DI INDONESIA DAN AMERIKA (CASE STUDY: PT. DONGSUH SECURITIES, getdate())
publishDate 2009
topic MANAGEMENT
url http://eprints.binus.ac.id/9780/1/Abstrak_09-209.pdf
http://eprints.binus.ac.id/9780/
http://library.binus.ac.id/Collections/ethesis_detail.aspx?ethesisid=TS-CS-2009-0209
contents ANALISIS DAN PENGUJIAN TIGA METODE VALUE AT RISK PADA PORTFOLIO SAHAM DI INDONESIA DAN AMERIKA (CASE STUDY: PT. DONGSUH SECURITIES, getdate()) - Value at Risk, VaR, Diversified VaR, Backtesting, Historical VaR, Delta-Normal, Monte-Carlo
id IOS3176.9780
institution Universitas Bina Nusantara
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library
library Binus University Library and Knowledge Center
library_id 478
collection Binus University e-Thesis Repository
repository_id 3176
city JAKARTA BARAT
province DKI JAKARTA
repoId IOS3176
first_indexed 2016-09-23T10:45:44Z
last_indexed 2016-09-23T10:45:44Z
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