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RISK MEASURE ON FINANCE ASSETS AND INSURANCE PRODUCT AS THE BASIS FOR PORTFOLIO SELECTION

Risks are disadvantages that could happen of an ongoing process or future event. Risks in a company is generally divided by two i.e. financial asset risks and insurance product risks. Those risks has to be minimized, but has to be quantified first by risk measure. Risk measures that can be used are...

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書目詳細資料
主要作者: ARDI PRADANA (NIM:10114038), MUHAMMAD
格式: Final Project
語言:Indonesia
在線閱讀:https://digilib.itb.ac.id/gdl/view/29134
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