2017
DOI: 10.30813/bmj.v9i1.685
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Analisis Risk Dan Return Reksadana Saham Dibandingkan Dengan Portfolio Saham Secara Acak

Abstract: <p>The research was conducted on the data listed in Indonesia Stock Exchange (BEI) in 2008-2010. This research aims to determine the risk and return’s difference between Mutual Funds Risk and Portfolio shares listed on the Stock Exchange. The research method used in this research is descriptive method using Kolmogorov Smirnov normality test and Non parametric: Mann Whitney. The results obtained by SPSS output is there is no difference between the shares of the Mutual Fund Return Portfolio randomly select… Show more

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