Mussafi, N. S. M. (2017). Analisis Risk Asset Portfolio Berbasis Reward To Variability Pada Saham Syariah Di Indonesia Menggunakan Nonlinear Programming. Department of Mathematics, UIN Sunan Ampel Surabaya.
Chicago Style (17th ed.) CitationMussafi, Noor Saif Muhammad. Analisis Risk Asset Portfolio Berbasis Reward To Variability Pada Saham Syariah Di Indonesia Menggunakan Nonlinear Programming. Department of Mathematics, UIN Sunan Ampel Surabaya, 2017.
MLA (8th ed.) CitationMussafi, Noor Saif Muhammad. Analisis Risk Asset Portfolio Berbasis Reward To Variability Pada Saham Syariah Di Indonesia Menggunakan Nonlinear Programming. Department of Mathematics, UIN Sunan Ampel Surabaya, 2017.
Warning: These citations may not always be 100% accurate.