Analisis Pembentukan Portofolio Optimal dengan Menggunakan Model Markowitz pada Saham Indeks Kompas100 Periode Februari 2024 - Januari 2025

Josefanny, Clarita Ndun (2025) Analisis Pembentukan Portofolio Optimal dengan Menggunakan Model Markowitz pada Saham Indeks Kompas100 Periode Februari 2024 - Januari 2025. Other thesis, Universitas Mohammad Husni Thamrin.

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Item Type: Thesis (Other)
Contributors:
Contribution
Name
Email
Thesis advisor
Mutdi, Ismuni
UNSPECIFIED
Thesis advisor
Yuliana Saridewi, Kusumastuti
UNSPECIFIED
Uncontrolled Keywords: Portofolio Optimal, Model Markowitz, Kompas100, Return, Risiko
Subjects: H Social Sciences > H Social Sciences (General)
H Social Sciences > HB Economic Theory
H Social Sciences > HG Finance
Divisions: Fakultas Ekonomi dan Bisnis > S1 Manajemen
Depositing User: Josefanny Clarita Ndun
Date Deposited: 05 Feb 2026 13:22
Last Modified: 05 Feb 2026 13:22
URI: http://eresources.thamrin.ac.id/id/eprint/6231

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