• Tidak ada hasil yang ditemukan

Metode Estimasi Risiko Dalam Manajemen Risiko Finansial

N/A
N/A
Protected

Academic year: 2017

Membagikan "Metode Estimasi Risiko Dalam Manajemen Risiko Finansial"

Copied!
2
0
0

Teks penuh

(1)

DAFTAR PUSTAKA

Acerbii, C. (2002). Spectral measures of risk: a coherent representation of subjec-tive risk aversion. Journal of Banking and Finance, Volume 26, 1505-1518.

Artzner, P., Delbaen, F dan Eber. J.M. (1998). Coherent Measures of Risk.Journal Mathematical Finance, Volume 9, 203-228.

Bali, T. G., Gokcan, S., dan Liang, B. (2007). Value at Risk and the Cross-Section of Hedge Fund Returns.Journal of Banking & Finance, Volume 31,11351166

Best, P. (1998).Implementing Value at Risk. Chicester: John Wiley & Sons, Inc.

Bodie, Z., Kane, A., dan Marcus, J. (2013). Investments, Fifth Edition. United States of America: McGraw-Hill.

Chan, N.H., dan Wong, H.Y. (2013).Handbook of Financial Risk Management: Simulations and Case Studies.Canada: John Wiley & Sons, Inc.

Choudhry, M.(2013).An Introduction to Value at Risk, Fifth Edition. United King-dom: John Wiley and Sons Ltd.

Daft, R. L. (2008). Management, Eighth Edition. Uninited States of America : Thomson Higher Education.

Dowd, K. (2005).Measuring market risk. 2nd ed. Chichester: Wiley.

Frank, J. F. (2008). Advanced Stochastic Models, Risk Assessment, and Portfo-lio Optimization: The Ideal Risk, Uncertainty, and Performance Measures, Canada: John Wiley & Sons, Inc

Gilli, M., dan Kellezi, E. (2006). An Application of Extreme Value Theory for Measuring Financial Risk. Article published in Computational Economics, Volume 27(1), 1-23

Griffin, R. (2006).Business, 8th Edition. NJ: Prentice Hall.

Holton, G. A. (2003).Value at Risk: Theory and Practice. Academic Press.

Jorion, P. (2001).Value at Risk, the new Benchmark for Managing Finalcial Risk, 2nd Edition, United States: McGraw-Hill.

Jorion, P. (2007). Value at Risk: The New Benchmark Managing Finansial Risk. Thirdn Edition. New York: The Mc Graw-Hill Companies.

Miller, M. B. (2014).Mathematics and statistics for financial risk management, 2nd Edition. Canada: John Wiley & Sons, Inc.

Shim, J. K dan Siegel, J. G. (2007).Financial Management, Third Edition. United States of America: McGraw-Hill.

Terry, G. R dan Franklin. (2004).Principles Of Management, Eigth Edition. Cana-da: AITBS.

31

(2)

32

Tsay, R. S. (2011).Analysis of Financial Time Series: Financial Econometrics, Canada: John Wiley & Sons, Inc.

Van, H dan Wachowicz. (2013). Fundamentals of financial management 13 th ed, England : Prentice-Hall.

William, T. T. (1989). Effective Risk Management for Financial Organizations. Illiois : Bank Administration Institute, Rollin Meadows.

Referensi

Dokumen terkait

3 Pola Komunikasi Siswa Sekolah Islam di Yogyakarta yang Memiliki Model Pesantren dalam Pelaksanaan Sistem Pendidikan karakter Anggota. File Bidang

Hasil belajar yang dimaksud dalam penelitian ini adalah nilai tes akhir peserta didik pada kelas eksperimen setelah diajar menggunakan pendekatan saintifik dan

(1) Apabila skala/besaran suatu jenis rencana usaha dan/atau kegiatan lebih kecil atau sama dengan skala besaran yang tercantum pada lampiran II Peraturan Daerah

Pembuatan aplikasi ini dimulai dengan pencarian data-data tentang lagu baru yang ada pada pasar musik Indonesia, perancangan struktur navigasi, perancangan tampilan, pemodelan

It is a competitive job market especially for fresh graduates who have no working experience and no ICT skill.. Here are some tips needed to increase the likelihood of getting

Pemeliharaan yang dapat dilakukan seperti pemeliharaan rutin, pemeliharaan berkala ( periodik ), dan rehabilitasi / peningkatan. Pemeliharaan jalan merupakan suatu

The work of the historians of the education of women and of people of color is only part of a rich set of recent monographs and articles in the social, political, and intel-

3.2 Mengenal teks cerita narasi sederhana kegiatan dan bermain di lingkungan dengan bantuan guru atau teman dalam bahasa Indonesia lisan dan tulis yang dapat diisi dengan