Resti Astuti, author
Pengaruh Cash Holding, Leverage, Market Return, Maturity, Risk Free, Treasury Slope dan Volatility Index terhadap Credit Spread pada Obligasi Korporasi di Indonesia = The Effect of Cash Holding, Leverage, Market Return, Maturity, Risk Free, Treasury Slope and Volatility Index to Credit Spread of Corporate Bonds in Indonesia / Resti Astuti
2015
 UI - Skripsi (Membership)
Gandhi Anwar Sani, author
Uji kausalitas VAR Toda-Yamamoto antara variabel makro ekonomi dengan pasar modal syariah dan pasar uang syariah di Indonesia tahun 2002 - 2011 : studi kasus Jakarta Islamic Index dan Sertifikat Bank Indonesia Syariah = VAR Toda-Yamamoto causality test between macro economic variabel, Islamic Capital Market, and Islamic Money Market in Indonesia year 2002 - 2011 : case study Jakarta Islamic Index and Bank Indonesia Sharia Certificate
2012
 UI - Skripsi (Open)
Pamuji Gesang Raharjo, author
Perhitungan tambahan modal (capital charge) atas eksposur risiko pasar posisi devisa neto bank dengan pendekatan standar dan internal model (historical simulation dan variance covaraince)
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2004
 UI - Tesis (Membership)
Andrew Frans, author
Risiko kecurangan (fraud) oleh pemegang saham pengendali melalui mekanisme penerbitan saham baru (right issue) (studi kasus: PT ATPK Resources, Tbk. pada tahun 2007) = Fraud risk by controlling shareholder through right issue mechanism case study PT ATPK Resources Tbk on year 2007
Universitas Indonesia, 2013
 UI - Tesis (Membership)
Mastrialdi, author
Dampak serangan bom bali 12 oktober 2002 pada bursa efek jakarta ditinjau dari sisi abnormal return, volume activity dan value at risk
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2003
 UI - Tesis (Membership)
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