Manajemen risiko dengan metode VaR untuk portofolio interest rate, foreign exchange dan equity.

Triyanti, Arie (2005) Manajemen risiko dengan metode VaR untuk portofolio interest rate, foreign exchange dan equity. Masters thesis, Universitas Pelita Harapan.

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Item Type: Thesis (Masters)
Creators:
CreatorsNIMEmail
Triyanti, ArieUNSPECIFIEDUNSPECIFIED
Additional Information: T 19-03 TRI m
Subjects: H Social Sciences > HD Industries. Land use. Labor
H Social Sciences > HD Industries. Land use. Labor > HD28 Management. Industrial Management
Depositing User: Ms Devy Christiany Zega
Date Deposited: 21 May 2021 06:05
Last Modified: 21 May 2021 06:05
URI: http://repository.uph.edu/id/eprint/31522

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