Toga Ari Wibowo
Pengukuran risiko pasar portofolio surat utang negara trading (studi kasus bank xyz ) = Market risk measurement of government bonds Portfolio (case study of bank xyz)
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2008
 UI - Tesis Open
Nur Azifah
Analisis risk dan return portofolio surat berharga syariah negara dan obligasi pemerintah periode 2010-2014 = An analysis of risk and return portfolio of shariah government securities and government bonds within the period 2010-2014
2015
 UI - Tesis Membership
Andika Samudra
Risiko pasar surat utang negara (SUN): aplikasi metode quasi Monte Carlo = Indonesia government bonds market risk application of quasi monte Carlo Method / Andika Samudra
2016
 UI - Tesis Membership
Rezky Utami
Analisis hubungan dinamis perubahan suku bunga kredit bank, penyaluran kredit bank, gross domestic product, yield surat utang negara dan earning yield saham terhadap pertumbuhan penerbitan obligasi korporasi di Indonesia = Analysis of dynamic relationship among credit interest rate bank lending flow gross domestic product government bonds yield and stock earning yields to growth of corporate bonds issuance in Indonesia
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2016
 UI - Skripsi Membership
Rahmanul Yusuf Mugiharto
Peran pemerintah Indonesia dalam menyikapi pola perilaku herd investor di pasar obligasi pemerintah pada 5 negara ASEAN = The Indonesian government role in addressing the herd investor behaviour in government bonds market in ASEAN-5.
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2021
 UI - Tesis Membership