Risiko-risiko obligasi dan strategi portofolio obligasi
Zainal Arifin ()
Economic Journal of Emerging Markets, 1994, vol. 2, issue 1, 34-41
Abstract:
Di tengah harga saham yang tidak kunjung membaik, mulai pertengahan tahun 1992 banyak perusahaan mencari sumber lain untuk membiayai investasinya dengan menawarkan obligasi pada bulan Juni. Kemudian disusul perusahaan-perusahaan lain termasuk PLN yang permintaan obligasinya sampai oversubscribed.
Date: 1994
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Persistent link: https://EconPapers.repec.org/RePEc:uii:journl:v:2:y:1994:i:1:p:34-41:id:6565
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