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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
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Artikel Jurnal  Universitas Indonesia Library