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Hasil Pencarian

 
Ditemukan 26 dokumen yang sesuai dengan query
cover
Coyle, Brian, author
Canterbury: Financial World Publishing, 2001
658.155 COY i (1)
Buku Teks  Universitas Indonesia Library
cover
Coyle, Brian, author
Canterbury: Financial World Publishing, 2001
658.155 COY h (1)
Buku Teks  Universitas Indonesia Library
cover
This volume examines diverse meanings and practices of risk management ranging from austerity to climate change to housing and debt. The authors investigate the relationship between shifts in contemporary capitalism and the ways in which neoliberal forms of risk management have emerged, been reproduced and normalized, and, transformed historically....
United Kingdom: Emerald, 2016
e20469370
eBooks  Universitas Indonesia Library
cover
Gastineau, Gary L., author
New York: Frank J. Fabozzi Associates, 1996
R 658.15503 GAS d
Buku Referensi  Universitas Indonesia Library
cover
[Addresses such topics as : hierarchical and ultrametric models of financial crashes, dynamic hedging, arbitrage free modeling the term structure of interest rates, agent based modeling of order flow, asset pricing in a fractional market, hedge funds performance and more. , Addresses such topics as : hierarchical and ultrametric models...
Berlin: [Springer, ], 2012
e20397140
eBooks  Universitas Indonesia Library
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Hampton, John J., 1942-, author
Managing financial risks comes down to understanding how to reduce a complex business environment into workable concepts and models. "The AMA Handbook of Financial Risk Management" provides readers with the tools they need for dealing with the most important areas of financial decision making. Filled with strategies, principles, and measurement...
New York: [American Management Association, ], 2011
e20437310
eBooks  Universitas Indonesia Library
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Bølviken, Erik, author
Focusing on what actuaries need in practice, this introductory account provides readers with essential tools for handling complex problems and explains how simulation models can be created, used and re-used (with modifications) in related situations. The book begins by outlining the basic tools of modelling and simulation, including a discussion...
United Kingdom: Cambridge University Press, 2014
e20528025
eBooks  Universitas Indonesia Library
cover
Bølviken, Erik, author
Focusing on what actuaries need in practice, this introductory account provides readers with essential tools for handling complex problems and explains how simulation models can be created, used and re-used (with modifications) in related situations. The book begins by outlining the basic tools of modelling and simulation, including a discussion...
United Kingdom: Cambridge University Press, 2014
e20528025
eBooks  Universitas Indonesia Library
cover
Bimo Aldonino, author
Laporan berikut telah dimasukkan secara komprehensif untuk menganalisis efek dari Krisis Keuangan Global dan Euro Sovereign Krisis Utang ke Barclays Bank dan OCBC Bank, kinerja kedua bank tersebut dan manajemen risiko dua bank dari Inggris dan Singapura selama krisis yang merusak sektor keuangan dunia Eropa dan. Kami tertarik untuk meninjau...
Depok: Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2014
MK-Pdf
UI - Makalah dan Kertas Kerja  Universitas Indonesia Library
cover
Syunesti, Author
ABSTRAK
Komitmen Garuda dalam rangka menerapkan prinsip-pnnstp GCG salah satunya ditunjukkan dengan pengelolaan risiko melalui penerapan manajemen risiko secara menyeluruh. Sebagai perusahaan yang bergerak di bidang pengangkutan udara domestik dan intemasioanal, otomatis pendapatan yang diterima dalam berbagai mata uang. Sebagai konsekuensinya Garuda terkena risiko karena perubahan nilai tukar valuta asing.
...
2005
T-Pdf
UI - Tesis (Membership)  Universitas Indonesia Library
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