Physical Collection
Digital Collection
Database / E-Book
Feedback
Collection Recommendation
Satisfaction survey
Please take a moment to complete this survey below
Library's collection
Library's IT development
Cancel
Perbedaan abnormal return perusahaan-perusahaan terdaftar di BEJ pada tahun 2000-2002 sebelum dan sesudah pengumuman merger dan akuisisi
Author
Kumalasari, Lenny
Additional Author(s)
Tanuwidjaja, Lilian
Publisher
Surabaya: Fakultas Ekonomi Jurusan Manajemen UK Petra, 2003
Language
Indonesian
ISBN
-
Series
Tugas Akhir No. 03011710/MAN/2003
Subject(s)
INVESTMENT ANALYSIS
PORTFOLIO MANAGEMENT
Notes
-
Abstract
-
Physical Dimension
Number of Page(s)
vi, 64 p.
Dimension
30 cm.
Other Desc.
ill.
Summary / Review / Table of Content
No summary / review / table of content available!
Exemplar(s)
#
Accession No.
Call Number
Location
Status
1.
00651/04
(T) 658.152 Kum P
Library - 8th Floor
Under maintenance
Similar Collection
by author or subject
Quantitative equity portfolio management
The Intelligent investor
Analisa faktor-faktor yang mempengaruhi initial return setelah initial public offering (IPO)
Managing fixed income portfolios
Cara menilai perusahaan
Studi kelayakan Mal Ciputra ditinjau dari aspek pasar dan aspek keuangan
A New framework for IT investment decisions
Pembalikan return saham perusahaan yang telah mengalami penurunan tajam di bursa efek Jakarta periode 2001-2005