DAFTAR PUSTAKA
Buku:
Ajija, Shochrul R, Dyah W. Sari, Rahmat H. Setianto, dan Martha R. Primanti, 2011. Cara Cerdas Menguasai Eviews, Salemba Empat, Jakarta.
Gio, Prana Ugiana, 2015. Belajar Olah Data Dengan Eviews, USU Press, Medan
Gujarati, Damodar N dan Porter Dawn C, 2012. Dasar-dasar Ekonometrika, Edisi 5, Buku 2, Salemba Empat, Jakarta.
Kuncoro, Mudrajad, 2003. Metode Riset untuk Bisnis dan Ekonomi, Erlangga, Jakarta.
Mishkin, Frederick S dan Stanley G Eakins, 2006. Financial Market and Institutions, 5th edition, Addison Wesley.
Pratomo, Wahyu Ario dan Paidi Hidayat 2010. Pedoman Praktis Penggunaan Eviews dalam Ekonometrika, Edisi Kedua, USU Press, Medan.
Rose, Peter. S, 2002. Commercial Bank Management, McGraw-Hill, Boston.
Salvatore, Dominick, 2011. Managerial Economics Ekonomi Manajerial dalam Perekonomian Global, Edisi Kelima, Salemba Empat, Jakarta.
Veithzal, Rivai, 2007. Bank and Financial Institute Management, PT. Raja Grafindo Persada, Jakarta.
Wahyudi, Imam, Miranti Kartika Dewi, Fenny Rosmanita, Muhammad Budi Prasetyo, Niken Iwani Surya Putri dan Banu Muhammad Haidir. 2013. Manajemen Risiko Bank Islam, Salemba Empat, Jakarta.
Jurnal:
Ayuso, Juan, Daniel Pérez dan Jesús Saurina, 2002. ”The relationship between the Spanish Business Cycle and The Capital Buffers Held by Spanish Commercial and Savings Banks”, Banco de España — Servicio de Estudios Documento de Trabajo, no 0224.
Borio, C, C Furfine dan P Lowe, 2001. “Procyclicality of the Financial System and Financial Stability: issues and policy options” in “Marrying the
Macro- and Micro-prudential dimensions of Financial Stability”, BIS Papers, no 1, March, pp 1-57.
Boucinha, Miguel dan Nuno Ribeiro, 2007. “The Determinants Of Portuguese Banks’ Capital Buffers”, Financial Stability Report.
D’Avack, Francesco dan Sandrine Levasseur, 2007. “The Determinants of Capital Buffers in CEECs (Central and Eastern European Countries”, Observatoire Francais des Conjonctures Economiques.
Estrella A, 2004, “The Cyclical Behavior of Optimal Bank Capital”, Journal of Banking and Finance 28, pp.1469-1498.
Fonseca, A. R. dan Gonzalez F. 2010. “How Bank Capital Buffers Vary Across Countries: The Influence of Cost of Deposits, Market Power and Bank Regulation”. Journal of Banking and Finance.
Furfine, Craig, 2000. “Evidence on the Response of US Banks to Changes in Capital Requirements”, BIS Working Paper.
Jokipii, Terhi dan Alistair Milne, 2007. “The Cyclical Behaviour of European Bank Capital Buffers”, A Research Report from Swedish Institute for Financial Research, no 56.
Prasetyantoko, Agustinus dan Wahyoe Soedarmono, 2010. “Determinants of Capital Buffer Banking in Indonesia”, Research Gate.
Tabak, Benjamin Miranda, Ana Clara Noronha dan Daniel Cajueiro, 2011. “Bank Capital Buffers, Lending Growth and Economic Cycle: Empirical Evidence For Brazil”, BIS CCA-004-2011.
Skripsi:
Anggitasari Agustina Alam, 2013. Hubungan Simultan Antara Capital Buffer dan Risiko. Skripsi Program Sarjana Fakultas Ekonomika dan Bisnis Universitas Diponegoro.
Bayuseno, Vaditra, 2014. Analisis Faktor Yang Mempengaruhi Capital Buffer Perbankan di Indonesia (Studi Pada Bank-Bank Konvesional Go Public Periode 2010-2013. Skripsi Program Sarjana Fakultas Ekonomika dan Bisnis Universitas Diponegoro.
Fikri, Ramizul Moh., 2012. The Determinants of Capital Buffers Commercial Banks in Indonesia (Study on 16 Biggest Commercial Banks Period 2004-2010. Thesis for Bachelor Program of Economic Faculty Diponegoro University.
Internet:
Booklet Perbankan Indonesia 2014
(31 Oktober
2016).
Peraturan BI No. 3/30DPNP
Perusahaan Jasa Sektor Keuangan Sub Sektor Bank
(6
November 2016).
Laporan Keuangan dan Tahuna
2017).