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Analisis pengaruh strategi pengelolaan surat berharga tersedia untuk dijual terhadap tingkat risiko suku bunga pada Bank Umum yang terdaftar di Bursa Efek Indonesia pada periode 2006 - 2009
This research discusses the impact of strategy management available for sale securities to interest rate risk. This research using commercial bank which listed in Indonesia Stock Exchange as a sample. Descriptive statistics by Eviews 6 has been used in order to get overview about characteristic of research sample. Data has been processed by pearson correlation matrix in SPSS program in order to estimate the relationship between independent variable and dependent variable, after that the data has been tested again by regression method in order to estimate the effect from independent variable into dependent variable. The result of this research shows that the most influential factor that effect interest rate risk is the proportion of available for sale securities. This research also found proportion of available for sale securities has positive correlation with interest rate risk. Conclusion of this research is the level and change of interest rate risk is affected by the proportion of available for sale securities.Ada tabel
Call Number | Location | Available |
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7249 | PSB lt.2 - Karya Akhir | 1 |
Penerbit | Depok Program Studi Manajemen Fakultas Ekonomi Universitas Indonesia., 2011 |
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Edisi | - |
Subjek | Financial management Banks Risks Scurities Interst risk |
ISBN/ISSN | - |
Klasifikasi | - |
Deskripsi Fisik | xvi, 98 p., 16 p. : diagr. ; 30 cm & lamp |
Info Detail Spesifik | - |
Other Version/Related | Tidak tersedia versi lain |
Lampiran Berkas | Tidak Ada Data |