DATA DENGAN PROBABILITAS: 2 METODE PERHITUNGAN RETURN & RESIKO PORTOFOLIO

  Рет қаралды 288

Fajri Taeh

Fajri Taeh

Күн бұрын

Juga dijelaskan bagaimana perhitungan Kovarian dan Korelasi antar 2 aset (saham)
Sangat relevan untuk topik perkuliahan Manajemen Keuangan dan Manajemen Investasi untuk topik Risk & Return

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