Items where Author is "Sianipar, Reza"

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Sianipar, Reza (2023) Estimasi Risiko Portofolio Optimal Model Mean Absolute Deviation Menggunakan Monte Carlo Berdasarkan Prediksi Harga Saham Dengan Double Exponential Smoothing. Other thesis, Institut Teknologi Sepuluh Nopember.

This list was generated on Sat Nov 23 13:30:28 2024 UTC.