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2007 TA PP ALVIGA ANDELISA 1-COVER.pdf
PUBLIC Vika Anastasya Kovariansi

2007 TA PP ALVIGA ANDELISA 1-BAB1.pdf
PUBLIC Vika Anastasya Kovariansi

2007 TA PP ALVIGA ANDELISA 1-BAB2.pdf
PUBLIC Vika Anastasya Kovariansi

2007 TA PP ALVIGA ANDELISA 1-BAB3.pdf
PUBLIC Vika Anastasya Kovariansi

2007 TA PP ALVIGA ANDELISA 1-BAB4.pdf
PUBLIC Vika Anastasya Kovariansi

2007 TA PP ALVIGA ANDELISA 1-BAB5.pdf
PUBLIC Vika Anastasya Kovariansi

2007 TA PP ALVIGA ANDELISA 1-PUSTAKA.pdf
PUBLIC Vika Anastasya Kovariansi

ABSTRACT: Stocks Mutual Fund as one of the risky investments used the basic strategy of diversification. Through its choice of stocks (80-98 percent), Stocks Mutual Funds play with the combination of its stocks as well as its holdings in order to gain the most optimal return with a certain level of risk. Mean Variance Frontier graph provides each Stocks Mutual Fund a return and risk