z-logo
open-access-imgOpen Access
Pembentukan Portofolio Saham Yang Optimal Dengan Menggunakan Model Markowitz Sebagai Dasar Penetapan Investasi Saham Pada Jakarta Islamic Index
Author(s) -
Ali Ahir Rambe,
Tri Rachmat Riski
Publication year - 2022
Publication title -
jurnal penelitian dan pengkajian ilmiah sosial budaya
Language(s) - Uncategorized
Resource type - Journals
ISSN - 2809-9508
DOI - 10.47233/jppisb.v1i2.511
Subject(s) - portfolio , business administration , business , finance

The content you want is available to Zendy users.

Already have an account? Click here to sign in.
Having issues? You can contact us here