Yunita, Yunita (2000) Hubungan risiko sistematik dan spesifik saham dengan rasio-rasio laporan keuangan: studi kasus pasar modal Indonesia. Masters thesis, Universitas Tarumanegara.

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Abstract

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Item Type: Thesis (Masters)
Subjects: Tesis > Pascasarjana
Divisions: Pascasarjana
Depositing User: Puskom untar untar
Date Deposited: 11 Oct 2018 09:05
Last Modified: 11 Oct 2018 09:05
URI: http://untar.idwordpres.com/id/eprint/8524

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