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Analisis Perbandingan Portofolio Optimal Saham dengan Menggunakan Metode Constant Correlation Model, Single Index Model, dan Markowitz Model (Studi Kasus Pada Saham yang Terdaftar Di Indeks LQ45 Selama Masa Pandemi COVID-19)
Identifier:nobleid.org/w1/20260515/5F11AF5F
Type:Journal Article
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