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Author

N. Achsani

3 papers indexed here

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Open access Sep 2026

Study on the Application of Markowitz’s Portfolio Selection Theory in Upstream Oil and Gas Investment Decision

Background: … Objective: Modern portfolio theory aims to maximize investment returns while managing the amount of risk taken, represented by variance, across different investment options. By regularly monitoring and adjusting their portfolio, investors can better align their investments with their specific financial g...

I. Novikri, N. Achsani, Roy Sembel et al. · 0 citations
Open access Sep 2026

A MANAGERIAL-SYSTEMIC MODEL FOR LAND CONFLICT RESOLUTION IN INDONESIA: AN APPROACH USING SOFT SYSTEMS METHODOLOGY

Land conflicts in Indonesia remain a persistent governance challenge involving communities, corporations, and government institutions. These conflicts are shaped by overlapping claims, fragmented land data, weak institutional coordination, unequal access to land, and limited recognition of customary rights. Litigation-...

A. Samosir, Budi Mulyanto, N. Achsani et al. · 0 citations
Open access Jul 2026

Influential Factors of Sustainability in Indonesia Wealth Tech Sector

This study investigates the key factors influencing the competitiveness of wealth tech firms in Indonesia, a sector that remains underdeveloped compared to global counterparts such as Toss, SoFi, Ping An. While global players leverage integrated platforms and internal data capabilities to drive user loyalty and value c...

Priscilla Maulina Juliani Siregar, N. Achsani, Zenal Asikin et al. · 0 citations

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