Yesika Billah Barika, author
Pengaruh risiko sistematis dalam model uncertainty terhadap return saham perbankan ASEAN-4 Tahun 2004-2014 melalui bayesian model averaging = Effect of systematic risk in model uncertainty of ASEAN-4 banking stock return period 2004 2014 through bayesian model averaging
2016
 UI - Skripsi Membership
Lita Tiami Adela, author
Analisis faktor risiko pada saham perbankan ASEAN-4 periode 2006-2015 dengan pendekatan fama and french three factor model dan intertemporal capital asset pricing model = Analysis of risk factors in ASEAN-4 banking stock period of 2006-2015 using fama and french three factor model and intertemporal capital asset pricing model
2017
 UI - Skripsi Membership
Titis Fatarina Mahfirah, author
Pengaruh Default Risk terhadap Return Saham di Indonesia : Aplikasi Model Merton = The Effect of Default Risk on Stock Return in Indonesia : Application of Merton Model
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2019
 UI - Tesis Membership
Simanjuntak, Luther, author
EVALUASI PENGARUH RISIKO TERHADAP RETURN SAHAM PERBANKAN DI INDONESIA PERIODE 2008 -2013 = Evaluation On The Impact Of Risk To The Banking Stock Return In Indonesia For Period 2008-2013
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2014
 UI - Tesis Membership
Sianipar, Lanni Palmitha Rosetty, author
Analisis risiko melalui momen imbal hasil pasar dan Fama-French Three Model periode 2002-2012 = Analysis of risk through moments of market return and Fama-French Three Model for the period 2002-2012
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2013
 UI - Skripsi Membership
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