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Hal. Awal Sebelumnya 96 97 98 99 100 Berikutnya Hal. Akhir

The Boundaries of loss aversion

1
(Kahneman, Daniel) (Novemsky, Nathan)

Twin Picks: Disentangling the Determinants of Risk-Taking in Household Portofoolios

1
(Calvet, Laurent E.) (Sodini, Paolo.)

Three cheers-psychological, theoretical, empirical-for loss aversion

1
(Camerer, Colin)

Local Risk, Local Factors, and Asset Prices

1
(Tuzel, Selale) (Zhang, Miao Ben)

Estimating Oil Risk Factors Using Information from Equity and Derivatives Markets

1
(Chiang, I) (Hsuan) (Hughen, W. Keener) (Sagi, Jacob S.)

Consumption Volatility Risk

1
(Boguth, Oliver) (Kuehn, Lars) (Alexander)

Asset Pricing with Countercyclical Household Consumption Risk

1
(Constantinides, George M) (Ghosh, Anisha)

Perilaku pengambilan risiko (risk taking) perbankan di Indonesia dan respon kebijakan moneter dan…

1
(Triandhari, Risna) (Prof. Dr. Nachrowi Djalal Nachrowi (Penguji)) (Dr. Beta Yulianita G. Laksono (Penguji)) (Prof. Dr. Rustam Didong (Penguji)) (Sugiharso Safuan, Ph.D (Pembimbing/Promotor)) (Febrio Nathan Kacaribu, Ph.D (Penguji)) (Dr. Halim Alamsyah (CoPromotor)) (M. Syamsudin, Ph.D (CoPromotor)) (Dr. Iskandar Simorangkir (Penguji))

Foundations of banking risk

1
(Apostolik, Richard)

How do intentions affect loss aversion?

1
(Novemsky, Nathan) (Kahneman)

Yesterday's Heroes: Compensation and Risk at Financial Firms

1
(Hong, Harrison) (Cheng, Ing) (Haw) (Scheinkman, Jose A.)

Correlation risk and optimal portfolio choice

1
(Buraschi, Andrea) (Porchia, Paolo) (Trojani, Fabio)

International Asset Pricing with Recursive Preferences

1
(Colacito, Riccardo) (Croce, Mariano M.)

Preferensi risiko dan tendensi penggunaan pupuk pada tanaman padi

1
(Nugroho, Moko) (Dr. Arie Damayanti S.E., M.Sc (Penguji)) (Alin Halimatussadiah S.E., M.E (Pembimbing/Promotor)) (Dr. Ir. Widyono Soetjipto M.Sc. (Penguji))

Political Markets and Regulatory Uncertainty: Insights and Implications for Integrated Strategy

1
(Bonardi, Jean) (Philippe) (Kingsley, Allison J.) (Vanden Bergh, Richard G.)

When Unvertainty Blows in the Orchard: Comovement and Equilibrium Volatility Risk Premia

1
(Buraschi, Andrea.) (Trojani, Fabio. Vedolin, Andrea.)

Long-run stockholder consumption risk and asset returns

1
(Moskowitz, Tobias J.) (Malloy, Christopher J.) (Vissing) (Jorgensen, Annette)

The Effects of endowment and loss aversion in managerial stock option valuation

1
(Wiseman, Robert M.) (Devers, Cynthia E.) (Holmes, R. Michael)

The Central banker as a risk manager: estimating the federal reserve's preferences under Greenspan

1
(Kilian, Lutz) (Manganelli, Simone)

Rational inattention and portfolio selection

1
(Liu, Hong) (Huang, Lixin)
Hal. Awal Sebelumnya 96 97 98 99 100 Berikutnya Hal. Akhir
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