Fajria Mulia Wahid, author
Analisis hubungan kebijakan moneter terhadap pasar saham negara g7 dan emerging market periode penelitian 1996-2015 = The analysis of correlation between monetary policy and stock market in both g7 countries and emerging market from 1996 2015
2016
 UI - Skripsi (Membership)
Choirunnisa Rifa Juliani, author
Pengaruh Korupsi Terhadap Cash Holding dan Cash Flow Sensitivity Of Cash: Studi Empiris di Negara Emerging Market ASEAN Periode 1997-2018 = The Impact of Corruption on Cash Holding and Cash Flow Sensitivity Of Cash: Empirical Study on Emerging Market ASEAN fot Periode 1997-2018
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2020
 UI - Skripsi (Membership)
Gabriel Bagaskoro Budiyanto, author
Munculnya Volatilitas Asimetris Pada Indeks Morgan Stanley Capital International Milik Negara-Negara Berkembang Selama Pandemi Covid-19 Periode 2018-2022 = The Emerging of Asymmetric Volatility on Morgan Stanley Capital International Index in Developing Markets During Covid-19 Pandemic in the 2018-2022 Period
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2022
 UI - Skripsi (Membership)
Budi Agung Nugroho, author
“Analisis Persistensi Guncangan Volatilitas Indeks Pasar dan Sektoral Di Bursa Efek Indonesia Pada Periode Pandemi COVID-19” = Volatility Shock Persistence Analysis of Market Index and Sector in IDX During Covid-19 Pandemic
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2022
 UI - Tesis (Membership)
Graciala Denita, author
Pengaruh Book-to-Market Ratio terhadap Earnings, Earnings Volatility, dan Default Risk Prada Perbankan di Negara-Negara Far East Asia Periode 2008-2018 = The Impact of Book-to-Market Ratio to Earnings, Earnings Volatility, and Default Risk of Banks in Far East Asia Countries Period 2008-2018
Fakultas Ekonomi dan Bisnis Universitas Indonesia , 2019
 UI - Skripsi (Membership)
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