REFERENCESAzmi, R (2006) “Mutual Funds Performance: Does Gender Matter translation - REFERENCESAzmi, R (2006) “Mutual Funds Performance: Does Gender Matter Indonesian how to say

REFERENCESAzmi, R (2006) “Mutual Fu

REFERENCES

Azmi, R (2006) “Mutual Funds Performance: Does Gender Matter in an Emerging Market”
D.A.I. Dayaratne , D.G Dharmaratne , SA Haris . (2005). Measuring the Risk and Performance in Plantation Sector Based CAPM Using Jensen 's Alpha . Journal of Finance and Accounting University of Sabaragamuwa Belihuloya .
Eduardus Tandelilin . (2010). Portfolio and Investment Theory and Applications . Yogyakarta: Canisius .
Elton, E.J. and Gruber,M (2003) Modern Portfolio Theory and Investment Analysis, 6th Edition, John Wiley & Son,Inc.
H.M , Jogiyanto . (2003). Portfolio Theory and Investment Analysis , Second Edition . BPFE
- UGM .
Sharpe, William (1964), “ Capital Asset Prices : A Theory of Market Equilibrium under Condition of Risk.” Journal of Finance, pp 425-42
0/5000
From: -
To: -
Results (Indonesian) 1: [Copy]
Copied!
REFERENSIAzmi, R (2006) "kinerja Reksa Dana: Gender materi dalam pasar berkembang"D.A.I. Dayaratne, D.G Dharmaratne, SA Haris. (2005). mengukur risiko dan kinerja sektor perkebunan berbasis CAPM menggunakan Jensen Alpha. Jurnal Keuangan dan akuntansi Universitas Sabaragamuwa Belihuloya.Eduardus Tandelilin. (2010). portofolio dan investasi teori dan aplikasi. Yogyakarta: Kanisius.Elton, E.J. dan Gruber, M (2003) portofolio Modern teori dan analisa investasi, edisi 6, John Wiley & Son, IncSetyo handsome, Jogiyanto. (2003). teori portofolio dan analisis investasi, edisi kedua. BPFE-UGM.Sharpe, William (1964), "harga aset modal: teori keseimbangan pasar di bawah kondisi risiko." Jurnal Keuangan, pp 425-42
Being translated, please wait..
Results (Indonesian) 2:[Copy]
Copied!
PUSTAKA

Azmi, R (2006) "Reksa Kinerja Dana: Penting gender dalam Emerging Market"
DAI Dayaratne, DG Dharmaratne, SA Haris. (2005). Mengukur Risiko dan Kinerja di Sektor Perkebunan Berbasis CAPM Menggunakan Jensen 's Alpha. Jurnal Keuangan dan Akuntansi Universitas Sabaragamuwa Belihuloya.
Eduardus Tandelilin. (2010). Portofolio dan Investasi Teori dan Aplikasi. Yogyakarta:. Canisius
Elton, EJ dan Gruber, M (2003) Teori Portofolio Modern dan Analisis Investasi, Edisi 6, John Wiley & Son, Inc.
HM, Jogiyanto. (2003). Teori Portofolio dan Analisis Investasi, Edisi Kedua. BPFE
. - UGM
Sharpe, William (1964), "Capital Asset Harga: A Theory of Ekuilibrium Pasar bawah Kondisi Risiko." Journal of Finance, pp 425-42
Being translated, please wait..
 
Other languages
The translation tool support: Afrikaans, Albanian, Amharic, Arabic, Armenian, Azerbaijani, Basque, Belarusian, Bengali, Bosnian, Bulgarian, Catalan, Cebuano, Chichewa, Chinese, Chinese Traditional, Corsican, Croatian, Czech, Danish, Detect language, Dutch, English, Esperanto, Estonian, Filipino, Finnish, French, Frisian, Galician, Georgian, German, Greek, Gujarati, Haitian Creole, Hausa, Hawaiian, Hebrew, Hindi, Hmong, Hungarian, Icelandic, Igbo, Indonesian, Irish, Italian, Japanese, Javanese, Kannada, Kazakh, Khmer, Kinyarwanda, Klingon, Korean, Kurdish (Kurmanji), Kyrgyz, Lao, Latin, Latvian, Lithuanian, Luxembourgish, Macedonian, Malagasy, Malay, Malayalam, Maltese, Maori, Marathi, Mongolian, Myanmar (Burmese), Nepali, Norwegian, Odia (Oriya), Pashto, Persian, Polish, Portuguese, Punjabi, Romanian, Russian, Samoan, Scots Gaelic, Serbian, Sesotho, Shona, Sindhi, Sinhala, Slovak, Slovenian, Somali, Spanish, Sundanese, Swahili, Swedish, Tajik, Tamil, Tatar, Telugu, Thai, Turkish, Turkmen, Ukrainian, Urdu, Uyghur, Uzbek, Vietnamese, Welsh, Xhosa, Yiddish, Yoruba, Zulu, Language translation.

Copyright ©2025 I Love Translation. All reserved.

E-mail: