Budi Setiawan, author
Estimasi risiko pasar pada portofolio saham PT Asabri Persero dengan metode value at risk menggunakan pendekatan copula = Estimated market risk portfolio shares in PT Asabri Persero with the method value at risk using copula approach
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2014
 UI - Tesis (Membership)
Estimasi nilai value at risk portofolio menggunakan metode t-copula
 Artikel Jurnal
Eko Andriyanto Prakasa, author
Pengukuran risiko pasar pada portofolio saham yang dikelola oleh PT XYZ (Persero) = Measuring market risk in portfolio of stock managed by PT KYZ (Persero) / Eko Andriyanto Prakasa
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2013
 UI - Tesis (Membership)
Suirwan, author
Pengukuran risiko pasar portofolio saham PT XYZ dengan value at risk dan expected shortfall model volatilitas GARCH = Market risk measurement of PT XYZ's stocks portofolio with value at risk and expected shortfall on GARCH volatility model
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2011
 UI - Tesis (Open)
Ade Triyono, author
Pengukuran Operational Value at Risk dengan metode Loss Distribution Approach-Actuarial Model pada klaim kecelakaan PT Jasa Raharja (Persero) = operational value at risk measurement on accident claim in Jasa Raharja company by loss distribution approach - actuarial model
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2011
 UI - Tesis (Open)
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