ANALISIS RISIKO DAN RETURN PORTOFOLIO REKSADANA DI INDONESIA 2009-2011
This research planned to analyze risk and return any type of mutual funds consisting of stock fund, bond fund, hybrid fund and money market mutual fund in Indonesia in the period 2009 to 2011. By analyzing the risk and return any type of mutual fund uses historical data, it could be used to predict...
Saved in:
Main Authors: | , Mohamad Arief, , Prof. Dr. Zaki Baridwan, M.Sc., Akt. |
---|---|
Format: | Theses and Dissertations NonPeerReviewed |
Published: |
[Yogyakarta] : Universitas Gadjah Mada
2012
|
Subjects: | |
Online Access: | https://repository.ugm.ac.id/98825/ http://etd.ugm.ac.id/index.php?mod=penelitian_detail&sub=PenelitianDetail&act=view&typ=html&buku_id=55018 |
Tags: |
Add Tag
No Tags, Be the first to tag this record!
|
Institution: | Universitas Gadjah Mada |
Similar Items
-
Analisis Portofolio optimal investasi Reksadana
by: , FARIDA, Lies, et al.
Published: (2005) -
ANALISIS TINGKAT RETURN DAN RISIKO INVESTASI PADA REKSADANA SAHAM MELALUIDUA CARA INVESTASI: LUMP Sf/MDAN SISTEM BERKALA
by: , Mouses Haposan Dayan, et al.
Published: (2013) -
Strategi investasi portofolio produk Reksadana di Indonesia
by: , NURPAN, et al.
Published: (1999) -
Risiko dan return: Analisis Pembentukan Portofolio Saham Berdasarkan Peringkat Diviasi Standar dan beta Periode 2006-2011
by: , Chandra Ramdhani Rustam, et al.
Published: (2013) -
Analisis kinerja reksadana saham di Indonesia periode 2005-2009
by: , ANGGRAINI, Fitria Dewi, et al.
Published: (2010)