B SIBARANI, BINTANG (2017) ANALISIS VOLATILITAS MENGGUNAKAN MODEL GARCH DAN TURUNANNYA (Studi Kasus: Saham Sektor Infrastruktur ‘Go Public’ Di Bursa Efek Indonesia Dan Malaysia ) Tahun 2008-2015. S2 thesis, Universitas Negeri Jakarta.
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Item Type: | Thesis (S2) |
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Additional Information: | Pembimbing I : Pembimbing II: |
Subjects: | Teknologi dan Ilmu-Ilmu Terapan (Technology and Applied Science) > Manajemen (Management and Auxiliary Service) > Manajemen Umum (General Management) > Manajemen Keuangan (Financial Management) |
Divisions: | Fakultas Ekonomi > S2 Magister Manajemen |
Depositing User: | Users 16 not found. |
Date Deposited: | 27 Nov 2017 05:08 |
Last Modified: | 27 Nov 2017 05:08 |
URI: | http://repository.fe.unj.ac.id/id/eprint/822 |
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