Multi-asset risk modeling / Morton Glantz, Robert Kissell
Academic Press, 2014
 eBooks
Gulland, J.A.
Fish stock assessment : a manual of basic methods
John Wiley & Sons, 1983
 Buku Teks
Andreas Krisvian
Pengaruh risiko likuiditas dan risiko kredit terhadap stabilitas bank di negara - negara ASEAN yang mengalami resesi akibat pandemi covid-19 = The effect of liquidity risk and kredit risk on bank stability in ASEAN countries experiencing recession due to the covid-19 pandemic.
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2021
 UI - Skripsi (Membership)
Ahmad Fauzi
Penanganan Risiko Proses Pemindahan Workshop pada Perusahaan Aviasi dari Rancaekek Bandung ke Pondok Cabe dengan Metode House of Risk = Handling the Process of Moving Workshop Risks to Aviation Company from Rancaekek Bandung to Pondok Cabe with the House of Risk Method
Fakultas Teknik Universitas Indonesia, 2022
 UI - Skripsi (Membership)
Budi Suwasono
Analisis Uji Konsistensi Kinerja Reksa Dana Saham Syariah Di Indonesia Dan Uji Konsistensi Metode Risk Adjusted Return (Indeks Sharpe dan Treynor serta Jensen dalam periode Januari 2009-Desember 2012) = Consistency Analysis Of Islamic Equity Mutual Fund Performance In Indonesia And Consistency Analysis Of Risk Adjusted Return Method (Sharpe Index; Treynor Index And Jensen Index) From Januari 2009 To December 2012
Sekolah Kajian Stratejik dan Global Universitas Indonesia, 2013
 UI - Tesis (Membership)