Code     TS-R-2009-0242
Title     STUDY OF INDONESIAN STOCK PORTFOLIO SELECTION BY COMPARING THE COMBINED RETURN ON CAPITAL AND EARNINGS YIELD RANK AND THE MARKET RETURN FROM THE PERIOD OF 1998 TO 2007
Author     IMELDA OCTAVIA
Subject     ACCOUNTING METHODS
Abstract    View 
Advisor  Dr. Stephanus Remond Waworuntu, MBA. ,
Department     Akuntansi
Format     86 p
Year     2009
Keyword    Joel Greenblatts Formula , Return On Capital (ROC) , Earnings Yields , Simple Average Weighted , Markowitz Weighted , Weekly Holding Period , Yearly Holding Period , Indonesian Market Return
Source    JWC
Collection Type     Thesis S2
Rights     Hasil karya tulis ini dilindungi undang-undang hak cipta. Cantumkan sumbernya bila anda mengutip sebagian atau seluruh isi artikel ini.
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