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MANAJEMEN PORTOFOLIO SAHAM PADA DANA JAMINAN PENSIUN DI BPJS KETENAGAKERJAAN
WIBOWO, BUDDIKURNIAWAN, ADITHYA

Penelitian ini menganalisis pengelolaan portofolio saham dengan fokus pada asset allocation, securities selection, market timing, dan evaluasi portofolio dalam Dana Jaminan Pensiun yang dikelola ol…

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-
Call Number
7788
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EFEKTIVITAS HEDGING MENGGUNAKAN SAHAM DAN CRYPTOCURRENCY DALAM MENGURANGI RIS…
HUSODO, ZAAFRI ANANTOJAUHARI, TANTOWI

Penelitian ini bertujuan untuk menganalisis efektivitas Bitcoin dan Ethereum sebagai instrumen hedging terhadap risiko portofolio saham di lima indeks negara berkembang, yaitu LQ45 (Indonesia), IBO…

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Call Number
7731
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STRATEGI ALOKASI ASET ADAPTIF DENGAN PENDEKATAN BLACK-LITTERMAN DAN CARHART 4…
EKAPUTRA, IRWAN ADIKRISTANTO, ARDIAN OKTA

Penelitian ini mengeksplorasi kerangka alokasi aset baru yang mengintegrasikan penilaian aset model Carhart dengan optimalisasi portofolio model Black-Litterman untuk memberikan rekomendasi keputus…

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-
Call Number
7645
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MANAJEMEN INVESTASI DAN TEORI PORTOFOLIO
HAKIM, DAYANSUDARYO, YOYO

Pembelajaran manajemen investasi dimulai dari pengenalan terhadap pasar modal sebagai tahap awal mengenai tempat kita melakukan transaksi jual dan beli sekuritas. Selanjutnya, diperkenalkan mengena…

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Call Number
658.152 HAK m
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ANALISIS OPTIMALISASI ALOKASI ASET INVESTASI PERUSAHAAN DANA PENSIUN (STUDI K…
ROKHIM, ROFIKOHSETIYANDARI, PRITA AYU

Penelitian ini bertujuan untuk dapat memberikan alternatif pembentukan portofolio investasi di PT XYZ. Proporsi alokasi yang dihasilkan dari penelitian ini diharapkan memberikan return yang optimal…

Edition
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Call Number
5285
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FUND OF FUNDS: STRATEGI ATAU INSTRUMEN INVESTASI
EKAPUTRA, IRWAN ADICARLOS, GERRY JUAN

Karya akhir ini membahas tentang pembentukan portofolio optimal fund of funds dengan menggunakan teori portofolio markowitz pada aset pembentuk reksadana saham, reksadana campuran, dan indeks sekto…

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Call Number
3674
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THE INFORMED INVESTOR: HOW TO USE THE MONEY MEDIA TO IMPROVE INVESTMENT PERFO…
VICKER, RAY

The book identifies profitable sourcell everybody whu how to from them. No such guidemprove chere in profit his one explains how to improve information channels th sharpen personal financial decisi…

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Call Number
332.6 VIC i
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QUANTITATIVE ANALYSIS FOR INVESTMENT MANAGEMENT
TAGGART, JR., ROBERT A.

An overview of the quantitative tools and models that have been most widely used in investment management. The book argues that many of the most popular quantitative techniques have certain element…

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Call Number
332.67 TAG q
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INNOVATIONS IN BOND PORTFOLIO MANAGEMENT: DURATION ANALYSIS AND IMMUNIZATION …
KAUFMAN, GEORGE G.BIERWAG, G. O.TOEVS, ALDEN

Contemporary Studies in Economic and Financial Analysis provides further insights to postcrisis developments in the global economic and financial environment. Our hope is that the assembled papers …

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Call Number
332.6323 KAU i
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BOND RISK ANALYSIS: A GUIDE TO DURATION AND CONVEXITY
DOUGLAS, LIVINGSTON G.

An investment guide.

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Call Number
332.6323 DOU b
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Found 29 from your keywords: Subject : "Portfolio"
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ANALISIS PENGARUH CELEBRITY ENDORSEMENT PADA BRAND IMAGE TERHADAP KEPUTUSAN PEMBELIAN (STUDI KASUS : PETER SAYS DENIM)
ANKASANISCARA, PALAGAN
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BALANCED SCORECARD SEBAGAI ALTERNATIF PENGUKURAN KENERJA PERUSAHAAN DENGAN KONSEP STRATEGIK PADA PT BANK XYZ TBK
HERMAWAN, ANCELLA ANITAWATI - ANI
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STUDY GUIDE TO ACCOMPANY FUNDAMENTAL ANALYSIS
SCHWAGER, JACK D. - TURNER, STEVEN C.
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ANALISIS DESAIN LAYANAN HELPDESK UNTUK MENINGKATKAN KEPUASAN PENGGUNA SISTEM INFORMASI DI PT. TELKOM JAKARTA
SISWANTORO, DEOT
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THE ESSENTIALS OF RISK MANAGEMENT
CROUHY, MICHEL - GALAI, DAN - MARK, ROBERT
RLC MM FEB-UI
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RLC MM-FEBUI (Library) occupies the right side of the ground floor of the MM FEB UI Building with a reading room capacity of more than 60 people.
 
The MM-FEB UI library service system is closed (closed access); where the user does not have direct access to the collection shelf. Or in other words, users are not allowed to take their own books from the collection shelf

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