Elvina Vania
Pengukuran Risiko Menggunakan Extended Gini Shortfall dengan Mempertimbangkan Parameter Risk-aversion = Risk Measurement Using Extended Gini Shortfall While Considering Risk-aversion Parameter
Fakultas Matematika dan Ilmu Pengetahuan Alam Universitas Indonesia, 2021
 UI - Skripsi Membership
Chrisseli Lukito
Pengukuran risiko menggunakan tail variance premium dan tail standard deviation premium = Risk measurement using tail variance premium and tail standard deviation premium
2018
 UI - Skripsi Membership
Linda Tanumihardja
Analisis Pengaruh Risk Identification, Risk Measurement dan Monitoring, Risk Controlling, dan Bank Size Terhadap Tingkat Rasio Non-Performing Loans pada Industri Perbankan di Indonesia = The Impact of Risk Identification, Risk Measurement and Monitoring, Risk Controlling, and Bank Size to Non-Performing Loan Ratio in Indonesian Banking Industry
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2018
 UI - Tesis Membership
Annisa Salsabilla
Kontrak Reasuransi Optimal dengan Banyak Reasuradur Menggunakan Distortion Risk Measure dan Asumsi Heterogeneous Belief = Optimal Reinsurance with Multiple Reinsurers Using Distortion Risk Measure and Heterogeneous Belief Assumption
Fakultas Matematika dan Ilmu Pengetahuan Alam Universitas Indonesia, 2024
 UI - Skripsi Membership
Sihombing, Gilbert D.
Analisis validitas metode pengukuran risiko nilai tukar IDR dengan USD, JPY dan SGD dengan metode historical simulation garch dan generalized extreme value distribution pada nilai ekstrim periode 1990-2013 = Validity analysis of currency risk measurement on IDR to USD, JYD and SGD by method of historical simulation garch and generalized extreme value distribution in extreme value period 1990-2013
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2014
 UI - Tesis Membership