Rian Arfiansah
Analisis Pengaruh Variabel Makroekonomi Terhadap Tingkat Pengembalian Pasar Saham Negara-Negara Pasar Maju dan Pasar Berkembang = Analysis of the Impacts of Macroeconomics Variables on the Stock Market Returns of Developed and Emerging Markets Countries
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2019
 UI - Skripsi Membership
Muhammad Aulia Fedrian
Integrasi pasar antara indeks saham syariah dan konvensional di beberapa negara maju dan berkembang tahun 2008-2016 = Market integration between sharia and conventional stock indices in several developed and emerging countries on 2008-2016
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2017
 UI - Skripsi (Membership)
Chaerunnisa Widiani
Hubungan jangka pendek dan jangka panjang antara gold, crude oil, dan pasar saham negara maju dan berkembang pada dua peristiwa krisis keuangan = Short-run and long-run relationship among gold, crude oil, and emerging and developed stock market during two financial crisis events
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2021
 UI - Skripsi (Membership)
Bernd Agastya
Analisis penerapan strategi momentum multivariat dengan memanfaatkan revenue surprise, earnings surprise, dan prior returns di Bursa Efek Indonesia periode 2001-2012 = Analysis of multivariate momentum strategy implementation using revenue surprise, earnings surprise, and prior returns in Indonesia Stock Exchange 2001-2012
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2014
 UI - Skripsi (Membership)
Rifki Nurfaiz
Volatility Spillover pada Periode Krisis 2008 dan Periode Pandemi 2020: Investigasi pada Pasar Saham Amerika dan ASEAN = Volatility Spillover in Crisis 2008 Period and Pandemic 2020: Evidence From US and ASEAN Stock Market
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2021
 UI - Tesis (Membership)