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ESTIMASI EXPECTED SHORTFALL DALAM OPTIMALISASI PORTOFOLIO DENGAN METODE DOWNSIDE DEVIATION PADA SAHAM IDXHEALTH

Portfolio optimization using downside deviation is an optimal portfolio by defining the standard deviation of returns below the target (benchmark) as a level of risk measure. Every optimal portfolio certainly has risks. Therefore, it’s necessary to estimate the risk as an illustration of the worst i...

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Principais autores: IDA BAGUS ANGGA DARMAYUDA, KOMANG DHARMAWAN, KARTIKA SARI
Formato: Artigo
Idioma:Inglês
Publicado: Universitas Udayana 2023-05-01
Series:E-Jurnal Matematika
Acceso en liña:https://ojs.unud.ac.id/index.php/mtk/article/view/97880
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