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Pasar Modal & Manajemen Portofolio Edisi 2

Dr Mohamad Samsul,MSi.,Ak. - Personal Name;

DAFTAR ISI
BAB 1 Pendahuluan
BAB 2 Pasar Modal Global
BAB 3 Pasar Modal Indonesia
BAB 4 Emisi Efek
BAB 5 Bursa Efek
BAB 6 Indeks Harga Saham dan Corporate Action
BAB 7 Metode Kuantitatif
BAB 8 Laporan Keuangan
BAB 9 Analisis Ekuitas
BAB 10 Makroekonomi dan Mikroekonomi
BAB 11 Efisiensi Pasar
BAB 12 Analisis Obligasi I : Bond Yield dan Bond Pricing
BAB 13 Analisis Obligasi II : Duration dan Convexity
BAB 14 Manajemen Portofolio
BAB 15 Capital Asset Pricing Model
BAB 16 Arbitrage Pricing Theory
BAB 17 Optimum Portofolio
BAB 18 Model Regresi Tunggal
BAB 19 Model Regresi Berganda
BAB 20 Reksa dana
BAB 21 Evaluasi Kinerja Reksa Dana

BOOK REVIEW
Buku ini membahas tentang seluk-beluk pasar modal dan bursa efek di suatu negara, khususnya di Indonesia, serta banyak membahas analisis investasi saham individu dan manajemen portofolio. Pada edisi kedua ini terdapat tambahan 4 bab baru dengan topik : Analisis Kuantitatif, Capital Asset Pricing Model, Arbitrage Pricing Theory dan Optimum Portofolio


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My Library 332.6 Sam p
P02481S
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My Library 332.6 Sam p
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My Library 332.6 Sam p
P02479S
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My Library 332.6 Sam p
P02366S
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My Library 332.6 Sam p
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My Library 332.6 Sam p
P02368S
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My Library 332.6 Sam p
P02369S
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Detail Information
Series Title
-
Call Number
332.6 Sam p
Publisher
Sumatera Utara : Erlangga., 2015
Collation
xi ; 26 cm ; 496 hlm
Language
Indonesia
ISBN/ISSN
978-602-298-012-4
Classification
332.6
Content Type
text
Media Type
other
Carrier Type
-
Edition
Ed.2
Subject(s)
Pasar Modal Global
Pasar Modal Indonesia
Emisi Efek
Bursa Efek
Indeks Harga Saham dan Corporate Action
Metode Kuantitatif
Analisis Ekuitas
Efisiensi Pasar
Analisis Obligasi I : Bond Yield dan Bond Pricing
Analisis Obligasi II : Duration dan Convexity
Manajemen Portofolio
Capital Asset Pricing Model
Arbitrage Pricing Theory
Optimum Portofolio
Model Regresi Tunggal
Model Regresi Berganda
Reksa dana
Evaluasi Kinerja Reksa Dana
Specific Detail Info
-
Statement of Responsibility
-
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