<?xml version="1.0" encoding="UTF-8"?>
<oai_dc:dc xmlns:oai_dc="http://www.openarchives.org/OAI/2.0/oai_dc/" xmlns:dc="http://purl.org/dc/elements/1.1/" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xsi:schemaLocation="http://www.openarchives.org/OAI/2.0/oai_dc/ http://www.openarchives.org/OAI/2.0/oai_dc.xsd">
  <dc:creator>Andiko, Zulfikar</dc:creator>
  <dc:title>Analisis kinerja dan strategi pengembangan portofolio kredit dengan pendekatan reward to variability ratio pada PT bank xyz tbk</dc:title>
  <dc:date>2010</dc:date>
  <dc:subject>Manajemen Keuangan</dc:subject>
  <dc:subject>Perbankan</dc:subject>
  <dc:subject>Kinerja Portofolio</dc:subject>
  <dc:subject>Sharpe's Model</dc:subject>
  <dc:subject>Kredit</dc:subject>
  <dc:subject>Reward To Variability Ratio</dc:subject>
  <dc:subject>Non Performing Loan</dc:subject>
  <dc:subject>Bad Debt Ratio</dc:subject>
  <dc:subject>Optimalisasi Portofolio Model Markowitz</dc:subject>
  <dc:subject>Analisis Return Portofolio</dc:subject>
  <dc:subject>Analisis Risiko Portofolio</dc:subject>
</oai_dc:dc>
