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Ditemukan 15927 dokumen yang sesuai dengan query
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"Academic finance research has shown that emerging markets still suffer from a myriad of risks such as credit, operational, market, legal and exchange rate risks. The onset of the subprime crisis 2007, the global financial crisis 2008-2009, and the Eurozone public debt crisis since the end of 2009 has brought to the light a number of emerging markets facing tumbling currencies, rising inflation, slowing growth, heavy dependence on foreign capital, and high levels of vulnerability to external shocks due to increased market integration. This context calls for not only a reconsideration of recent risk assessment models and risk management practices, but also the improvement and innovation of these models and practices. Factors such as liquidity, tail dependence, comovement, contagion, and timescale interactions have thus to be part of an integrated risk assessment and management framework. This book addresses three main dimensions of risk management in emerging markets: 1) the effectiveness of risk management practices; 2) current issues and challenges in risk assessment and modelling in emerging market countries; 3) the responses of emerging markets to the recent financial crises and the design of risk management models."
United Kingdom: Emerald, 2016
e20469599
eBooks  Universitas Indonesia Library
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Haimes, Yacov Y.
"Summary:
Examines the multidisciplinary applications, problems, and case histories in risk modeling, assessment, and management This book examines risk analysis, focusing on quantifying risk and constructing probability in conjunction with real-world decision-making problems, including institutional, organizational, and political considerations. The author presents basic concepts (hierarchical holographic modeling; decision"
Hoboken: Wiley, 2016
658.155 011 HAI r
Buku Teks  Universitas Indonesia Library
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Coyle, Brian
New York: Canferbury CIB , 2000
658.155 COY f
Buku Teks  Universitas Indonesia Library
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Haimes, Yacov Y.
New York: John Wiley & Sons, 1998
658.155 011 HAI r
Buku Teks  Universitas Indonesia Library
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Moeller, Robert R.
New Jersey: John Wiley & Sons, 2007
658.155 Moe c
Buku Teks  Universitas Indonesia Library
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Ayoub, Sherif
Edinburgh: Edinburgh University Press, 2014
332.645 AYO d
Buku Teks SO  Universitas Indonesia Library
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Washington DC: The World Bank, 2000
363.34 MAN
Buku Teks  Universitas Indonesia Library
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"The RMF allows an organization to develop an organization-wide risk framework that reduces the resources required to authorize a systems operation. Use of the RMF will help organizations maintain compliance with not only FISMA and OMB requirements but can also be tailored to meet other compliance requirements such as Payment Card Industry (PCI) or Sarbanes Oxley (SOX). With the publishing of NIST SP 800-37 in 2010 and the move of the Intelligence Community and Department of Defense to modified versions of this process, clear implementation guidance is needed to help individuals correctly implement this process. No other publication covers this topic in the detail provided in this book or provides hands-on exercises that will enforce the topics. Examples in the book follow a fictitious organization through the RMF, allowing the reader to follow the development of proper compliance measures. Templates provided in the book allow readers to quickly implement the RMF in their organization. The need for this book continues to expand as government and non-governmental organizations build their security programs around the RMF. The companion website provides access to all of the documents, templates and examples needed to not only understand the RMF but also implement this process in the reader’s own organization."
Waltham, MA: Syngress, 2013
e20427926
eBooks  Universitas Indonesia Library
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Annisa Perbawati
"Penelitian ini akan membahas mengenai kerangka manajemen risiko koperasi syariah, dengan mengambil kasus 2 (dua) koperasi syariah terkemuka di Indonesia. Penerapan manajemen risiko berguna bagi organisasi untuk meningkatkan kinerjanya secara keseluruhan dan mencapai tujuan organisasinya. Meskipun keuangan mikro syariah berkembang pesat di Indonesia, koperasi syariah mengalami berbagai tantangan dari internal dan eksternal. Tantangan internal yang dihadapi koperasi syariah antara lain permodalan, tantangan SDM, dan terbatasnya standar operasional prosedur operasional internal. Dari sisi regulasi, tidak seperti lembaga keuangan lain yang sangat diatur seperti bank dan asuransi, koperasi syariah masih belum memiliki regulasi khusus untuk penerapan manajemen risiko. Situasi ini mendorong koperasi syariah untuk menciptakan self-regulation dan selfcontrol untuk penerapan manajemen risikonya. Metodologi yang digunakan yaitu pendekatan kualitatif yang menggunakan strategi penelitian studi kasus melalui wawancara, Focus Group Discussion (FGD) dan analisis dokumen, penelitian ini mengidentifikasi jenis risiko yang dihadapi koperasi syariah di Indonesia dan cara mengelola risiko tersebut.

This study offers a risk management framework for the Islamic cooperative, by taking a case of 2 (two) leading Islamic cooperative in Indonesia. Risk management implementation is useful for organizations to improve their overall performance and achieve their organization goal. Despite the fast growth of Islamic microfinance in Indonesia, Islamic cooperatives experience various challenges from internally and externally. Internal challenges faced by Islamic cooperatives include capital, human resource challenges, and limited standard operational procedures for internal operations. From the regulatory side, unlike other highly regulated financial institutions such as banks and insurance, Islamic cooperative still has no specific regulation for risk management implementation. This situation leads Islamic cooperatives to create self-regulation and self-control for their risk management implementation. The methodology in this study is a qualitative method with case study approach through interviews, Focus Group Discussions (FGD) and document analysis , this study identifies the type of risks faced by Islamic cooperatives in Indonesia and ways to manage the risks."
Depok: Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2021
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UI - Tesis Membership  Universitas Indonesia Library
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Deni Samuel
"Dalam penelitian-penelitian yang mengambil topik mengenai kajian investasi teknologi informasi, menampilkan manfaat-manfaat yang bisa didapatkan oleh organisasi dari investasi teknologi informasi. Dari manfaat-manfaat tersebut ada risiko-risiko yang bisa mempengaruhi pencapaian manfaat teknologi informasi yang diharapkan, maka dari itu perlu adanya kajian mengenai risiko-risiko yang bisa mempengaruhi pencapaian manfaat investasi teknologi informasi. Karya-karya akhir mengenai kajian manfaat investasi teknologi informasi, memberikan penjelasan mengenai perubahan-perubahan proses bisnis yang terjadi akibat adanya investasi teknologi informasi. Hal tersebut dapat menyebabkan adanya risiko dari sisi internal dan eksternal organisasi dan dapat ditinjau dari aspek manusia, proses, dan teknologi, yang bisa mempengaruhi jalannya proses bisnis organisasi.
Dalam melakukan kajian risiko dalam investasi teknologi informasi, maka diperlukan metode-metode yang dapat mendukung penelitian ini. Penelitian ini menggunakan Tabel Manfaat Bisnis SI/TI Generik sebagai dasar utama untuk mengetahui manfaat-manfaat dalam investasi teknologi informasi yang bersifat generik untuk semua sektor industri. Kerangka kerja Committee of Sponsoring Organizations of the Treadway Commission Enterprise Risk Management dipakai untuk memberikan hubungan yang antara tujuan organisasi, strategi yang digunakan untuk mencapai tujuan tersebut, kemudian risiko-risiko yang bisa terjadi dari penerapan strategi tersebut, dan indikator-indikator yang mempengaruhi terjadinya risiko-risiko yang dihadapi organisasi. Karya-karya akhir dengan tema kajian investasi teknologi informasi digunakan untuk memberikan gambaran proses-proses bisnis yang berubah, akibat adanya penerapan teknologi informasi dan memberikan keberagaman sektor industri yang dikaji dalam penelitian ini.
Penelitian ini menghasilkan indikator-indikator risiko yang bisa mempengaruhi terjadinya risiko dari pencapaian manfaat-manfaat pada Tabel Manfaat Bisnis SI/TI Generik, yaitu, biaya tambahan, komplain karyawan, ketidakcocokan saldo pada neraca, tidak ada jaringan internet, keluhan pelanggan, dan downtime jaringan.

Research that takes topic of information technology investment studies, showing the benefits that can be obtained by the organization of information technology investment. From these benefits there are risks that could affect the achievement of the expected benefits of information technology. Therefore, it is necessary to study about risks that may affect the achievement of the benefits of information technology investments. Final projects about study of the benefits of information technology investments, provide a description of the business process changes that occurred as a result of of information technology investments. It can be lead to the risk from internal and external sides of organizations and can be viewed from the aspects of human, processes, and technology, that could affect the course of the organization's business processes.
In assessing the risk in information technology investments, it would required methods to support this research. This research using Generic Table IS/IT Business Value as the primary basis to determine the benefits of information technology investments, and generic for various industrial sectors. Committee of Sponsoring Organizations of the Treadway Commission Enterprise Risk Management Framework is used to provide a connection between the organization's objectives, strategies to achieve those goals, then the risks that could occur from the implementation of these strategies, and indicators that influence the occurrence of risks facing the organization. Final projects with theme of information technology investment study are used to give an overview of business processes that changed, due information technology implementation and provide a diversity of industry sectors examined in this study.
This research resulted the risk indicators that could affect the risk of the
achievement of benefits in Generic Table IS/IT Business Value, including, additional costs, the balance on the balance sheet mismatch, no internet connection, customer complaints, and network downtime.
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Depok: Fakultas Ilmu Komputer Universitas Indonesia, 2014
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UI - Tugas Akhir  Universitas Indonesia Library
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