SYSTEMATIC RISK MINIMIZATION THROUGH THE FORMATION OF PORTFOLIO DIVERSIFICATION (The Study Of Company’s Share that Joined in Index LQ45) Period 2010-2013 MINIMALISASI RISIKO TIDAK SISTEMATIS MELALUI PEMBENTUKAN DIVERSIFIKASI PORTOFOLIO (Studi Pada Saham P
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![Tabel 1.1 Besar Nilai Return Saham dan Risiko Saham pada Perusahaan](https://thumb-ap.123doks.com/thumbv2/123dok/538541.148584/20.595.116.517.512.728/tabel-besar-nilai-return-saham-risiko-saham-perusahaan.webp)
![Gambar 2.1 Risiko Total, Risiko Sistematis, dan Risiko Tidak](https://thumb-ap.123doks.com/thumbv2/123dok/538541.148584/36.595.146.509.99.359/gambar-risiko-total-risiko-sistematis-dan-risiko-tidak.webp)
![Gambar 2.2 Pengurangan risiko portofolio melalui penambahan](https://thumb-ap.123doks.com/thumbv2/123dok/538541.148584/47.595.121.507.347.600/gambar-pengurangan-risiko-portofolio-melalui-penambahan.webp)
![Tabel 2.1 Maping Penelitian Terdahulu](https://thumb-ap.123doks.com/thumbv2/123dok/538541.148584/51.595.111.533.248.755/tabel-maping-penelitian-terdahulu.webp)
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