Muhammad Izzuddin Muzaffar
Analisis Dynamic Conditional Correlation antara Value Investing dan Growth Investing Pasar Saham AS dengan Emerging Markets Tahun 2019-2024: Studi Empiris S&P 500 dengan MSCI Emerging Markets = Analysis of Dynamic Conditional Correlation between Value Investing and Growth Investing in the US and Emerging Markets Stock Markets during 2019–2024: An Empirical Study of the S&P 500 and MSCI Emerging Markets
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2025
 UI - Skripsi Membership
Ranggalawe Istifajar Rullinda
Diversifikasi portofolio saham syariah mancanegara: studi kasus pada saham syariah di Indonesia dan Malaysia = International sharia stock portfolio diversification: case study on Indonesian and Malaysian sharia stock
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2018
 UI - Skripsi Membership
Danur Febri Kurniawan
Analisis pembentukan portofolio saham dengan kriteria perhitungan economic value added (EVA) pada perusahaan yang terdaftar di Bursa Efek Indonesia periode 2005-2014 = Analysis stock portfolio establishment with EVA valuation as a criteria of companies listed on the indonesia stock exchange BEI from 2005 until 2014
2016
 UI - Skripsi Membership
Dwipa Nugraha
Perbandingan portofolio optimal menggunakan seleksi graham dengan portofolio optimal markowitz terhadap saham-saham LQ45 di Bursa Efek Indonesia = Comparison of optimal portfolio using graham selection with optimal portfolio markowitz on LQ45-Shares in Indonesia Stock Exchange
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2010
 UI - Tesis Open
Hasjuddin Hamka
Aplikasi strategi pembentukan portofolio berdasarkan EPS growth momentum dan revenue growth pada saham LQ45 di bursa efek indonesia = Application of portfolio construction stretagies based on EPS growth momentum dan revenue growth in LQ45 shares in the indonesian stock exchange / Hasjuddin Hamka
2015
 UI - Tesis Membership