<?xml version="1.0" encoding="UTF-8"?>
<srw_dc:dc xmlns:srw_dc="info:srw/schema/1/dc-schema" xmlns:dc="http://purl.org/dc/elements/1.1/">
  <dc:creator>Kusnitarini, Yani</dc:creator>
  <dc:title>Pembentukan optimalisasi portofolio kredit dengan metode markowitz (studi kasus pt. bpr pusaka dana tangerang banten)</dc:title>
  <dc:date>2008</dc:date>
  <dc:subject>Manajemen Keuangan</dc:subject>
  <dc:subject>Pt. Bpr Pusaka Dana</dc:subject>
  <dc:subject>Return</dc:subject>
  <dc:subject>Risiko</dc:subject>
  <dc:subject>Standar Deviasi</dc:subject>
  <dc:subject>Varian</dc:subject>
  <dc:subject>Kovarian</dc:subject>
  <dc:subject>Koefisien Korelasi</dc:subject>
  <dc:subject>Expected Return</dc:subject>
  <dc:subject>Efficient Frontier</dc:subject>
  <dc:subject>Portofolio Optimal</dc:subject>
  <dc:subject>Model Markowitz</dc:subject>
</srw_dc:dc>
