Ditemukan 27658 dokumen yang sesuai dengan query
Boston: Houghton Mifflin, 1965
330.08 ECO
Buku Teks Universitas Indonesia Library
New York: West Publishing, 1975
330 CAS
Buku Teks Universitas Indonesia Library
Cambridge, UK: Massachusetts The MIT Press , 1966
330 COL I (1)l
Buku Teks Universitas Indonesia Library
Hunik Sri Runing Sawitri, author
We investigate the impact of the presence of women in top management on bank performance
controlling for bank specific factors, ownership and governance. By making use of sample of 70 Indonesian
banks in a cross section study, we find strong evidence that the presence of women in the
executives is negatively associated with...
Faculty of Economics and Business Universitas Sebelas Maret,, 2016
AJ-Pdf
Artikel Jurnal Universitas Indonesia Library
Natalia, author
This paper empirically examines the effect of banks' revenue diversification on the stock-based
return and risk measures using data on the ASEAN-5, and addition from China, Japan, and South
Korea banking sector. This paper use panel Fixed Effect and robustness test with Random Effect and
TSLS. We use non-interest income share as a...
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2016
PDF
Artikel Jurnal Universitas Indonesia Library
Stuart, C.A. Verrijn
Haarlem : De Erven F. Bohn, 1945
BLD 301 STU h
Buku Teks Universitas Indonesia Library
E. C. Winardi
Buku ini menjelaskan tentang teori ekonomi modern, baik ekonomi mikro maupun ekonomi makro. Terdapat penambahan beberapa bab dalam buku ini, yaitu tentang :
Bab XXVI : Pendapatan nasional dan produk nasional
Bab XXVII : Determinan tabungan dan investasi dari pendapatan nasional
BAB XXVIII : Multiplier pendapatan nasional...
Bandung: Alumni, 1972
K 330.1 WIN gt
Buku Klasik Universitas Indonesia Library
Fazelina Sahul Hamid1, author
Convergence in prices or returns of assets with similar characteristics indicates that the financial
market is integrated with regional markets. This paper is the first that test of the movements of
interest rates in ASEAN banking sector for the period 1990 - 2012. The empirical analysis is based
on a yearly panel of...
Universiti Sains Malaysia, School of Distance Education., 2016
PDF
Artikel Jurnal Universitas Indonesia Library
Fazelina Sahul Hamid, author
Convergence in prices or returns of assets with similar characteristics indicates that the financial
market is integrated with regional markets. This paper is the first that test of the movements of
interest rates in ASEAN banking sector for the period 1990 - 2012. The empirical analysis is based
on a yearly panel of...
Universiti Sains Malaysia, School of Distance Education., 2016
PDF
Artikel Jurnal Universitas Indonesia Library
Haris Pratama Loeis, author
This study focuses on the behavior of open-ended mutual fund investors when encountered with
multiple information signals of mutual fund?s historical performance. The behavior of investors can
be reflected on their decision to subscribe or redeem their funds from mutual funds. Moreover, we observe
the presence of ambiguity within investors due to multiple...
Universitas Indonesia, Department of Management, Faculty of Economics and Business, 2015
J-Pdf
Artikel Jurnal Universitas Indonesia Library