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Please use this identifier to cite or link to this item: http://hdl.handle.net/123456789/9940

Title: Analisis Pembentukan Portofolio Optimal Dengan Model Markowitz Pada Saham Jakarta Islamic Index Periode Tahun 2011 � 2013
Authors: Sofyarosa, Sofyarosa
Keywords: ANALISIS PEMBENTUKAN PORTOFOLIO OPTIMAL
MODEL MARKOWITZ
SAHAM JAKARTA ISLAMIC INDEX
Issue Date: 2014
Abstract: Portfolio is basically concerned with how one allocates some funds in various types of investments because of the huge risk will arise if the capital owned only invested in one stock alone. And then expected is the result of achieving optimal benefits. By diversifying, the investor can reduce risk level and at the same time to optimize the expected rate of return. This study aims to help investors invest by establishing the optimal stock portfolio stock with case studies on Jakarta Islamic Index (JII) by using the Markowitz model.
URI: http://hdl.handle.net/123456789/9940
Appears in Collections:E-Journal Ekonomi

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