bocoran slot
Home
Publisher
Journal / Conference
Subject
Suggest
Guidebook
Jurnal Sains dan Informatika
Vol. 2 No. 2 (2016): Jurnal Sains dan Informatika
PENGUKURAN RISIKO PORTOFOLIO INVESTASI DENGAN VALUE at RISK (VaR) MELALUI PENDEKATAN METODE VARIANSIKOVARIANSI DAN SIMULASI HISTORIS
Ines Saraswati Machfiroh
(Politeknik Negeri Tanah Laut)
Article Info
Publish Date
02 Apr 2017
Abstract
Copyrights © 2016
Citation Download
RIS
EndNote, Reference Manager, ProCite
BibTex
Latex, Jabref
Original Source
Download Original
Google Scholar
Check in Google Scholar
Journal Info
Jurnal Sains dan Informatika
Website
Abbrev
JSI
Publisher
Politeknik Negeri Tanah Laut
Subject
Computer Science & IT
Engineering
Mathematics
Description
...
Sinta
Bima
Arjuna
PDDIKTI
Risbang
Scopus
Rama