Main objective of this study is to maximize expected return and in the same time lowering investment risk. The methodology implemented in this study is modern portfolio theory through diversification assets that has low or negative correlation factor. This study tried to …
CITATION STYLE
Bakar, N. A., & Rosbi, S. (2018). Evaluation of Risk Reduction for Portfolio in Islamic Investment Using Modern Portfolio Theory. International Journal of Advanced Engineering Research and Science, 5(11), 27–34. https://doi.org/10.22161/ijaers.5.11.7
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