[1]
“Pengukuran Risiko Kredit Obligasi Pendekatan First Passage Time dan Optimisasi Portofolio dengan Mean Variance Efficient Portfolio”, JEM, vol. 4, no. 1, pp. 92–102, Nov. 2016, Accessed: Jul. 01, 2026. [Online]. Available: https://ejournal-science.upi.edu/jem/article/view/88