• Tidak ada hasil yang ditemukan

T2 912011028 Daftar Pustaka

N/A
N/A
Protected

Academic year: 2017

Membagikan "T2 912011028 Daftar Pustaka"

Copied!
6
0
0

Teks penuh

(1)

DAFTAR PUSTAKA

Ajzen, Icek (1991). The Theory of Planned Behavior. Organizational Behavior and Human Decision Processes 50, 179-211.

Akhtar , Muhammad Naeem and Batool, Iram (2012)

PSYCHOLOGICAL FACTORS. INFORMATION

ASYMMETRY AND INVESTMENT DECISION_MAKING.

ACTUAL PROBLEMS OF ECONOMIICS Voll.. 2,, #4,, 2012 Al-Ajmi, Yasim Y (2011). Risk Tolerance of Individual Investors

in a Emerging Market. Journal of Risk and Diversification. Issue 2. Bahrain.

Alwisol (2006). Psikologi Kepribadian. UMM Press. Malang B. M. Barber, and T. Odean (1999). The courage of misguided

convictions. Financial Analysts Journal, vol. 55, no. 6, pp. 41-55

Beutler and Gudmunson (2012). New Adolescent Money Attitude Scales: Entitlement and Conscientiousness. Association for Financial Counseling and Planning Education

Bolton, L. E., Cohen, J. B., & Bloom, P. N. (2006). Does marketing products as remedies create a “get out of jail free card?” Journal of Consumer Research, 33, 71–81. Costa, P. T. and R. R. McCrae (1992). Revised NEO Personality

(2)

Curcuru, S.E. (2003). Determinant of Real Estate Holding in the Household Asset Portfolio. Working Paper, University of Chicago

D. G. Williams (1992). Dispositional optimism, neuroticism, and extraversion. Pers. Indiv. Differ., vol. 13, no. 4, pp. 475-477

Darmawi, Herman (2000). Manajemen Risiko. Bumi Aksara. Jakarta

Durand, Newby and Sanghani (2008). An Intimate Portrait of the Individual Investor. The Journal Of Behavioral Finance, 9: 193–208.

Faff, Robert; Hallahan, Terrence; McKenzie, Michael, (2009). Nonlinear Linkages Between Financial Risk Tolerance and Demographic Characteristics. Applied Economic Letters, 16, 1329-1332, Australia.

Filbeck, G., Hatfield, P., & Horvarth, P. (2005). Risk Aversion and Personality Type. The Journal of Behavioral Finance, 6, 170–180.

Froot, Kenneth A and O’Connel Paul G. J, (2003). The Risk Tolerance of International Investors. Nber Working Paper No. 10157, Cambridge.

(3)

Ghozali, Imam (2006). Aplikasi Analisis Multivariate dengan Program SPSS. Edisi keempat. Badan Penerbit UNDIP Semarang.

Gilliam, John E; Goetz Joseph W; Hampton, Vickie L (2008). Spausal Differences in Financial Risk Tolerance. Financial Counseling and Planning Volume 19, issue 1. Lubbock. Texas.

Goldberg, L.R. (1999). A broad bandwidth, public

domain,personality inventory measuring the Lower level

facets of several five_factor models. In: I. Mervielde, I.

Deary, F. de Fruyt, F. Ostendorf (Eds.). Personality

Psychology in Europe, 7: 7–28.

Grable, John E; McGill, Samantha; Britt, Sonya ( 2009). Risk Tolerance Estimation Bias: The Age Effect. Journal of Bussiness and Economic Research, Volume 7 No. 7.

Hunter, K and S. Kemp (2004). The Personality of E-commerce Investors. Journal of Economic Psychology, 25(4).

Korniotis, G. and A. Kumar (2005). Does Investment Skill Deteriorate with Age. Working Paper, University of Notredame Mendoza College of Business.

Kusumaastuti, Sri Yani (2012). Penentu Preferensi Risiko Investor. Call For Papers dan Seminar Nasional : Pengelolaan Industri Kreatif sebagai Penunjang Stabilitas Keuangan, Pages B021. Unika Atmajaya. Jakarta.

(4)

MacCrimmon, K. R. & Wehrung, D. A. (1986). Taking Risks: The Management of Uncertainty. New York: Free Press. Mayfiels, Cliff; Perdue, Gardy; Wooten, Kevin (2008).

Investment Management and Personality. Financial Services Review 17 219-236. University of Houston-Clear Lake, Houston. USA.

McShane, S.L. & Glinow, M. A.V (2000). Organizational Behavior. USA: McGraw-Hill.

Moghaddam, J. M; Peyvandi, Ali and Wang, Jia (2009). The Effect of Personality Traits on the Perceived Effectiveness of Summer Study Abroad Programs: An Empirical Study in the United States. International Journal of Management Vol. 26 No. 3

Moghaddam, Peyvandi, Ali and Wang, Jia (2009). The Effect of Personality Traits on the Perceived Effectiveness of Summer Study Abroad Programs: An Empirical Study in the United States. International Journal of Management Vol. 26 No. 3

Moreschi, Robert W (2005). An Analysis of The Ability of Individuals To Predict Their Own Risk Tolerance. Journal of Business&Economic Research, Volume 3, No. 2.

Olsen, Robert A (1998). Behavioral Finance and I’ts Implications for Stock-Price Volatily. Financial Analysts Journal. Volume 54, No. 2, pp 10-18. CFA Institute.

(5)

Pratomo, Eko Priyono & Nugraha, Ubaidillah. Reksadana : Solusi Perencanaan Investasi di Era Modern. Gramedia Pustaka Utama, Jakarta.

Ratno Purnomo (2010). Pengaruh Kepribadian, Self-Efficacy dan Lotus of Control Terhadap Persepsi Kinerja Usaha Kecil dan Menengah. Jurnal Bisnis dan Ekonomi (JBE), September 2010, Hal. 144 – 160 Vol. 17, No. 2

Roszkowski, Michael J and Davey, Geoff (2010). Risk Perception and Risk Tolerance Changes Atrributable to The 2008 Economic Crisis: A Subtle but Critical Difference. Journal of Financial Service Profesionals.

Salim, Abbas (1998). Manajemen Risiko. PT Rajagrafindo Persada. Jakarta

Samsul, Mohamad (2006). Pasar Modal dan Manajemen Portofolio. Penerbit Erlangga. Jakarta

Schaefer, Williams, Goodie, and, Campbell (2004). Overconfidence and the Big Five. J. Res. Pers., vol. 38, pp. 473-480,

Shafrin, Hersh (2005). Behavioral Corporate Finance. Mcgraw-Hill/Irwin Series in Finance, Insurance&Real Estate Sneed, R. M.,R.R. McCrae and D. C. Funder. Lay Conceptions

of the Five Factor Model and Its Indicator. Personality and Social Psycology Bulletin Management, 24(2), 115-126

(6)

Tversky, Amos & Kahneman, Daniel (1991). Loss Aversion in Riskliess Choice: A Reference-Dependent Model. The Quarterly Journal of Economic. MIT Press, Vol 106.

William, D Nordhaus (1989). Risk Analysis in Economic : An Application to University Finances. Cowles Foundation for Research in Economics. Yale University.

Referensi

Dokumen terkait

Penurunan kadar logam berat dapat dilakukan dengan menggunakan larutan asam, larutan asam memiliki kemampuan untuk mengikat logam ( chelating agent ), salah satu cara

[r]

Metode Penelitian Kuantitatif untuk Bisnis : Pendekatan Filosofi dan Praktis.. Penerbit

Standar Kompetensi : Setelah mengikuti kuliah Manajemen Strategi, mahasiswa akan mampu menjelaskan arti, ruang lingkup dan.. model Manajemen Strategi dalam mencapai

Di sisi lain mahasiswa diharapkan mampu mengembangkan ilmu pengetahuan yang diperoleh dari bangku kuliah untuk menawarkan solusi permasalahan tersebut melalui pemberian

[r]

[r]

Banyaknya forum internet yang tidak dimanfaatkan dengan baik oleh kalangan pelajar dan seringnya permberian informasi yang kurang jelas di sekolah mengakibatkan kurangnya