Statistika MF Qudratullah, SU Zuliana, ED Supandi SUKA Press. UIN SunanKalijaga. Yogyakarta, 2012 | 19 | 2012 |
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 | 18 | 2020 |
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 | 15 | 2017 |
Statistika. Yogyakarta MF Qudratullah, SU Zuliana, ED Supandi suka press, 2012 | 11 | 2012 |
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 | 9 | 2019 |
Developing of mean-variance portfolio modeling using robust estimastin and robust optimization method ED Supandi PhD Dissertation Gadjah Mada University, 2017 | 9 | 2017 |
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 | 8 | 2012 |
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 | 3 | 2022 |
Improved Robust Portfolio Optimization. ED Supandi, D Rosadi, A Abdurakhman Malaysian Journal of Mathematical Sciences 11 (2), 2017 | 3 | 2017 |
Pengembangan Model Portofolio Mean-Variance Melalui Metode Estimasi Robust dan Optimasi Robust ED SUPANDI Disertasi, Departemen Matematika FMIPA Universitas Gadjah Mada, Yogyakarta, 2017 | 2 | 2017 |
Predicting Interval of Product Reliability With Bootsrap Percentile Method A Fauzy, ED Supandi Jurnal Ilmu Dasar 11 (2), 120-123, 2010 | 2 | 2010 |
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 | 2 | 2010 |
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 | 1 | 2023 |
Signal Modeling with IG Noise and Parameter Estimation Based on RJMCMC S Akhmad Fauzy, ED Supandi Mathematics and Statistics 10 (6), 1285 -1292, 2022 | 1 | 2022 |
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 | 1 | 2020 |
Statistika Dan Terapannya ED Supandi | 1 | 2020 |
Membangun Interval Kepercayaan Proporsi dengan Menggunakan Metode Jackknife Sampel Terhapus-1 W Suryadi, ED Supandi Statistika 19 (1), 39-51, 2019 | 1 | 2019 |
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 | 1 | 2018 |
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 |