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
Karen Sophie
Perhitungan Risiko Asuransi dengan Credible Tail Conditional Median dan Credible Quantile Tail Expectation = Risk Measurement for Insurance Sector with Credible Tail Conditional Median and Credible Quantile Tail Expectation
Fakultas Matematika dan Ilmu Pengetahuan Alam Universitas Indonesia, 2021
 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