<?xml version="1.0" encoding="UTF-8"?>
<mods xmlns="http://www.loc.gov/mods/v3" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xsi:schemaLocation="http://www.loc.gov/mods/v3 http://www.loc.gov/standards/mods/v3/mods-3-7.xsd">
  <name type="personal">
    <namePart>Kusnitarini, Yani</namePart>
    <role>
      <roleTerm type="text">author</roleTerm>
    </role>
  </name>
  <titleInfo>
    <title>Pembentukan optimalisasi portofolio kredit dengan metode markowitz (studi kasus pt. bpr pusaka dana tangerang banten)</title>
  </titleInfo>
  <originInfo>
    <dateIssued>2008</dateIssued>
  </originInfo>
  <subject>
    <topic>Manajemen Keuangan</topic>
  </subject>
  <subject>
    <topic>Pt. Bpr Pusaka Dana</topic>
  </subject>
  <subject>
    <topic>Return</topic>
  </subject>
  <subject>
    <topic>Risiko</topic>
  </subject>
  <subject>
    <topic>Standar Deviasi</topic>
  </subject>
  <subject>
    <topic>Varian</topic>
  </subject>
  <subject>
    <topic>Kovarian</topic>
  </subject>
  <subject>
    <topic>Koefisien Korelasi</topic>
  </subject>
  <subject>
    <topic>Expected Return</topic>
  </subject>
  <subject>
    <topic>Efficient Frontier</topic>
  </subject>
  <subject>
    <topic>Portofolio Optimal</topic>
  </subject>
  <subject>
    <topic>Model Markowitz</topic>
  </subject>
</mods>
