Export Ready — 

Risiko dan return: Analisis Pembentukan Portofolio Saham Berdasarkan Peringkat Diviasi Standar dan beta Periode 2006-2011

The basic principle of financial science states that in an efficient market, investors will get a return of investment that is higher than the average by taking a risk that is higher than average. However, Baker, et al. (2011) in their research on U.S. stocks in the period 1968-2008 found that long-...

Full description

Saved in:
Bibliographic Details
Main Authors: , Chandra Ramdhani Rustam, , Prof. Dr. Jogiyanto Hartono M., MBA.
Format: Theses and Dissertations NonPeerReviewed
Published: [Yogyakarta] : Universitas Gadjah Mada 2013
Subjects:
ETD
Online Access:https://repository.ugm.ac.id/119092/
http://etd.ugm.ac.id/index.php?mod=penelitian_detail&sub=PenelitianDetail&act=view&typ=html&buku_id=59083
Tags: Add Tag
No Tags, Be the first to tag this record!
Institution: Universitas Gadjah Mada