Pengaruh Risiko Sistematis, Leverage, dan Likuiditas Terhadap Return Saham LQ 45 Yang Terdaftar Pada Bursa Efek Indonesia

Show simple item record

dc.contributor.author Wijaya, Chandra Ferdinand
dc.contributor.author Djajadikerta, Hamfri
dc.date.accessioned 2018-05-09T07:58:40Z
dc.date.available 2018-05-09T07:58:40Z
dc.date.issued 2017
dc.identifier.issn 2085-4587
dc.identifier.other artsc305
dc.identifier.uri http://hdl.handle.net/123456789/5937
dc.description JURNAL ILMU MANAJEMEN ULTIMA MANAGEMENT; Vol.9 No.2, Desember 2017. en_US
dc.language.iso Indonesia en_US
dc.publisher Universitas Multimedia Nusantara (UMN) en_US
dc.relation.ispartofseries JURNAL ILMU MANAJEMEN ULTIMA MANAGEMENT;Vol.9 No.2, Desember 2017.
dc.subject STOCK RETURN en_US
dc.subject SYSTEMATIC RISK en_US
dc.subject LEVERAGE en_US
dc.subject LIQUIDITY en_US
dc.subject LQ45 en_US
dc.title Pengaruh Risiko Sistematis, Leverage, dan Likuiditas Terhadap Return Saham LQ 45 Yang Terdaftar Pada Bursa Efek Indonesia en_US
dc.type Journal Articles en_US


Files in this item

This item appears in the following Collection(s)

Show simple item record

Search UNPAR-IR


Advanced Search

Browse

My Account