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Studi Kasus FEB UI
Tesis
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Alokasi modal dalam melakukan investasi dengan value at Risk sebagai dasar penentuan resiko
1
(Setiawan, Judi) (Prof. Dr. Roy Sembel (Pembimbing/Promotor)) (Dr. M. Fathoni (CoPromotor)) (Prof. Dr. Roy Sembel (CoPromotor))
Disentangling compensation and employment risks using the behavioral agency model
1
(Gomez) (Mejia, Luis R.) (Wiseman, Robert M.) (Larraza) (Kintana, Martin) (Welbourne, Theresa M.)
Faktor-faktor risiko fiskal dalam penganggaran daerah
1
(Romarina, Arina) (Makhfatih, Akhmad)
Peran individual risk preference terhadap status bekerja sebagai PNS
1
(Anandari, I Gusti Agung Ayu Apsari) (Chaikal Nuryakin, Ph.D (Pembimbing/Promotor)) (Prani Sastiono, Ph.D (Penguji)) (Maria Goreti Arie Damayanti, Ph.D (Penguji))
MNC subsidiaries and country risk: internalization as a safeguard agains weak ixternal institutions
1
(Gupta, Anil K.) (Feinberg, Susan E.)
Pengaruh manajemen risiko perusahaan terhadap kinerja dan nilai perusahaan : peran kinerja lingku…
1
(Dr. Sylvia Veronica, NPS (Pembimbing/Promotor)) (Dr. Ratna Wardhani (Penguji)) (Dr. Chaerul D. Djakman (Penguji)) (Chairani)
Which shorts are informed?
1
(Boehmer, Ekkehart) (Zhang, Xiaoyan) (Jones, Charles M.)
An Empirical analysis of the pricing of collateralized debt obligations
1
(Longstaff, Francis A.) (Rajan, Arvind)
Does loan commitment increase the risk exposure of depositors?
1
(Utama, Siddharta)
Evaluasi manajemen risiko Kantor Akuntan Publik (KAP) dalam keputusan penerimaan klien berdasarka…
1
(Sensi, Ludovicus)
Empirical evidence of risk shifting in financially distressed firms
1
(Eisdorfer, Assaf)
Peer Effects in Risk Aversion and Trust
1
(Shumway, Tyler) (Duchin, Ran) (Ahren, Kenneth R.)
Evaluasi persepsi penggunaan S-commerce di Indonesia terhadap social commerce intention (studi ka…
1
(Daniel Tumpal H. Aruan, Ph.D (Penguji)) (Saghfira, Anggit) (Dr. Rifelly Dewi Astuti, SE., MM (Pembimbing/Promotor)) (Imam Salehudin, SE., MSi., Ph.D (Penguji))
The Term structure of real rates and expected inflation
1
(Bekaert, Geert) (Ang, Andrew) (Wei, Min)
Risk, reputation, and IPO price support
1
(Lewellen, Katharina)
The Price of correlation risk: evidence from equity options
1
(Driessen, Joost) (Maenhout, Pascal J.) (Vilkov, Grigory)
IQ and stock market participation
1
(Grinblatt, Mark) (Keloharju, Matti) (Linnainmaa, Juhani)
Tails, fears, and risk premia
1
(Bollerslev, Tim) (Todorov, Viktor)
Ambiguous information, portfolio inertia, and excess volatility
1
(Illeditsch, Philipp Karl)
Hybrid Tail Risk and Expected Stock Returns: When Does the Tail Wag the Dog?
1
(Bali, Turan G.) (Cakici, Nurset) (Whitelaw, Robert F.)
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