BOANGMANALU, Andi Ivand Markemo; KOMALASARI, Puput Tri. PORTOFOLIO MARKOWITZ: UJI OPTIMAL HOLDING PERIOD DAN KINERJA PORTOFOLIO BERDASARKAN KRITERIA RISIKO DAN TARGET RETURN. Jurnal Manajemen Indonesia, [S.l.], v. 15, n. 2, p. 115-126, apr. 2017. ISSN 2502-3713. Available at: <//journals.telkomuniversity.ac.id/ijm/article/view/710>. Date accessed: 24 apr. 2024. doi: https://doi.org/10.25124/jmi.v15i2.710.