关注
Epha Diana Supandi
Epha Diana Supandi
UIN Sunan Kalijaga Yogyakarta
在 uin-suka.ac.id 的电子邮件经过验证 - 首页
标题
引用次数
引用次数
年份
Statistika
MF Qudratullah, SU Zuliana, ED Supandi
SUKA Press. UIN SunanKalijaga. Yogyakarta, 2012
192012
Pengaruh Remunerasi dan Motivasi Terhadap Kinerja Pegawai UIN Sunan Kalijaga Yogyakarta dengan Menggunakan Structural Equation Modelling
ED Supandi
PRISMA, Prosiding Seminar Nasional Matematika 3, 84-94, 2020
182020
An empirical comparison between robust estimation and robust optimization to mean-variance portfolio
ED Supandi, D Rosadi
Journal of Modern Applied Statistical Methods 16, 589-611, 2017
152017
Statistika. Yogyakarta
MF Qudratullah, SU Zuliana, ED Supandi
suka press, 2012
112012
Perbandingan Model Capital Asset Pricing Model (CAPM) Dan Liquidity Adjusted Capital Asset Pricing Model (LCAPM) Dalam Pembentukan Portofolio Optimal Saham Syariah
V Apriyanti, ED Supandi
Media Statistika 12 (1), 86-99, 2019
92019
Developing of mean-variance portfolio modeling using robust estimastin and robust optimization method
ED Supandi
PhD Dissertation Gadjah Mada University, 2017
92017
Pendekatan Conjoint Analysis untuk mengukur tingkat preferensi mahasiswa terhadap layanan sistem informasi akademik di UIN Yogyakarta
ED Supandi
Jurnal fourier 1 (1), 1-12, 2012
82012
Regresi Data Panel untuk Mengetahui Faktor-Faktor yang Mempengaruhi IPM di Kabupaten/Kota Provinsi DIY
ED Supandi, R Yulianti, A Fauzy
Statistika 22 (2), 157-163, 2022
32022
Improved Robust Portfolio Optimization.
ED Supandi, D Rosadi, A Abdurakhman
Malaysian Journal of Mathematical Sciences 11 (2), 2017
32017
Pengembangan Model Portofolio Mean-Variance Melalui Metode Estimasi Robust dan Optimasi Robust
ED SUPANDI
Disertasi, Departemen Matematika FMIPA Universitas Gadjah Mada, Yogyakarta, 2017
22017
Predicting Interval of Product Reliability With Bootsrap Percentile Method
A Fauzy, ED Supandi
Jurnal Ilmu Dasar 11 (2), 120-123, 2010
22010
Memprediksi Interval Reliabilitas Produk Dengan Metode Bootstrap Persentil Predicting Interval of Product Reliability With Bootsrap Percentile Method
A Fauzy, ED Supandi
Jurnal ILMU DASAR 11 (2), 120-123, 2010
22010
The Formation of Portfolio with Fuzzy Approach and Multi-objective Method
P Jana, D Rosadi, ED Supandi
Electronic Journal of Applied Statistical Analysis 16 (3), 541-563, 2023
12023
Signal Modeling with IG Noise and Parameter Estimation Based on RJMCMC
S Akhmad Fauzy, ED Supandi
Mathematics and Statistics 10 (6), 1285 -1292, 2022
12022
Structural Equation Modeling with Generalized Structured Component Analysis on the Relationship between Renumeration and Motivation on Employee Performance at UIN Sunan …
ED Supandi
Media Statistika 13 (2), 136 - 148, 2020
1*2020
Pembentukan Portofolio Optimal dengan Menggunakan Mean Absolute Deviation dan Conditional Mean Variance
EN Vanti, ED Supandi
Jurnal Fourier 9 (1), 25-34, 2020
12020
Statistika Dan Terapannya
ED Supandi
12020
Membangun Interval Kepercayaan Proporsi dengan Menggunakan Metode Jackknife Sampel Terhapus-1
W Suryadi, ED Supandi
Statistika 19 (1), 39-51, 2019
12019
Pengklasteran Kabupaten/Kota di Jawa Tengah berdasarkan Tenaga Kesehatan dengan Menggunakan Metode Ward dan K-Means
SP Lestari, ED Supandi, PP Rahayu
Jurnal Fourier 7 (2), 103-109, 2018
12018
Fuzzy Portfolio with Multi-objective Approach Using the Treynor Ratio.
P Jana, D Rosadi, ED Supandi
IAENG International Journal of Computer Science 51 (8), 2024
2024
系统目前无法执行此操作,请稍后再试。
文章 1–20