Miller, Michael B.
Mathematics and statistics for financial risk managment
Wiley, 2014
 Buku Teks
Koller, Glenn
Risk modeling for determining value and decision making / Glenn Koller.
Florida Chapman & Hall/CRC , 2000
 Buku Teks
Suntana Sukma Djatnika
Expected Risk Value (ERV) sebagai cara pengendalian perubahan kualitas perencanaan: case study perencanaan master plan infrastruktur
Fakultas Teknik Universitas Indonesia, 2002
 UI - Tesis (Membership)
Muhammad Rizky Adha
Regresi logistik multinomial dan regresi spline untuk pemodelan risiko kredit = Multinomial logistic regression and spline regression for credit risk modeling
2018
 UI - Skripsi (Membership)
Nurdin Kosasih
Analisis penggunaan one class support vector machine dalam mendeteksi outlier pada metode loss distribution approach untuk risiko operasional = Analysis of the use of one class support vector machine in detecting outlier on loss distribution approach for operational risk
Fakultas Matematika dan Ilmu Pengetahuan Alam Universitas Indonesia, 2014
 UI - Tesis (Membership)