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Hal. Awal Sebelumnya 101 102 103 104 105 Berikutnya Hal. Akhir

Debt Maturity and Asymmetric Information: Evidence from Default Risk Changes

1
(Goyal, Vidhan K.) (Wang, Wei)

Idiosyncratic Cash Flows and Systematic Risk

1
(Babenko, Ilona) (Tserlukevich, Yuri) (Boguth, Oliver)

Model specification and risk premia: evidence from futures options

1
(Johannes, Michael) (Broadie, Mark) (Chernov, Mikhail)

Foreign banks in poor countries: theory and evidence

1
(Detragiache, Enrica) (Tressel, Thierry) (Gupta, Poonam)

Local bank financial constraints and firm access to external finance

1
(Paravisini, Daniel)

Executive Pay Disparity and the Cost of Equity Capital

1
(Wei, K. C. John) (Chen, Zhihong) (Huang, Yuan)

Financial intermediaries, markets, and growth

1
(Fecht, Falco) (Huang, Kevin X. D.)

Collective risk management in a flight to quality episode

1
(Krishnamurthy, Arvind) (Caballero, Ricardo J.)

CEO Entrenchment and Corporate Hedging: Evidence from the Oil and Gas Industry

1
(Kumar, Praveen) (Rabinovitch, Ramon)

Faktor-faktor yang memengaruhi konsumsi fashion kolaboratif di Indonesia

1
(Syifa, Urfy) (Dr. Ignatius Heruwasto (Penguji)) (Dr. M. Gunawan Aliff (Penguji)) (Sri Rahayu Hijrah Hati, S.E., M.Si., Ph.D (Pembimbing/Promotor))

Performance of store brands: a cross-country analysis of consumer store-brand preferences, percep…

1
(Zhao, Ying) (Erdem, Tulin) (Valenzuela, Ana)

Corporate Governance and Risk-Taking in Pension Plans: Evidence from Defined Benefit Asset Alloca…

1
(Phan, Hieu V.) (Hedge, Shantaram)

Dampak Konglomerasi Terhadap Risiko Sistemik di Sektor Keuangan Indonesia

1
(Sakti, Bima Baskara) (Rofikoh Rokhim, Ph.D (Pembimbing/Promotor)) (Maria Ulpah S.E., M.Sc., Ph.D. (Penguji)) (Viverita, Ph.D (Penguji))

Predictable Dynamics in Higher Order Risk-Neutral Moments: Evidence from the S&P 500 Options

1
(Neumann, Michael) (Skiadopoulos, George)

Perbandingan metode GARCH BEKK dan matriks varian-kovarian untuk penaksir volatilitas mata uang d…

1
(Hermanto, Bambang) (Wibowo, Sigit S.)

Do Hedge Funds Reduce Idiosyncratic Risk?

1
(Sadka, Ronnie) (Kondor, Peter) (Namho, Kang)

Corporate governance, idiosyneratic risk, and information flow

1
(Ferreira, Miguel A.) (Laux, Paul A.)

Default and recovery implicit in the term structure of sovereign CDS preads

1
(Pan, Jun) (Singleton, Kenneth J.)

Pengaruh manajemen risiko perusahaan terhadap kinerja : peran moderasi intellectual capital

1
(Aisanafi, Yuannisa) (Dr. Fitriany (Penguji)) (Dr. Ancella Anitawati Hermawan, MBA., CA., ACMA., CGMA (Penguji)) (Dr. Chaerul D. Djakman, SE., Ak., MBA (Pembimbing/Promotor))

Analisis marginal expected shortfall pada emerging market ASEAN

1
(Wicaksono, Arif Satrio) (Dr. Buddi Wibowo (Penguji)) (Dony Abdul Chalid, Ph.D (Pembimbing/Promotor)) (Sigit Sulistyo Wibowo, Ph.D (Penguji))
Hal. Awal Sebelumnya 101 102 103 104 105 Berikutnya Hal. Akhir
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