• Tidak ada hasil yang ditemukan

Risk Base Capital

Pengaruh Risk Base Capital (RBC) Dan Pertumbuhan Premi Neto Terhadap Return On Investment (ROI) Pada Perusahaan Asuransi Yang Terdaftar Di Bursa Efek Indonesia (BEI)

Pengaruh Risk Base Capital (RBC) Dan Pertumbuhan Premi Neto Terhadap Return On Investment (ROI) Pada Perusahaan Asuransi Yang Terdaftar Di Bursa Efek Indonesia (BEI)

... perhitungan Risk Base Capital (RBC), pertumbuhan premi neto, dan Return On Investment (ROI) berdasarkan publikasi laporan keuangan perusahaan selama periode 2008 sampai dengan 2012; nilai Risk ...

74

Pengaruh Risk Base Capital (RBC) Dan Pertumbuhan Premi Neto Terhadap Return On Investment (ROI) Pada Perusahaan Asuransi Yang Terdaftar Di Bursa Efek Indonesia (BEI)

Pengaruh Risk Base Capital (RBC) Dan Pertumbuhan Premi Neto Terhadap Return On Investment (ROI) Pada Perusahaan Asuransi Yang Terdaftar Di Bursa Efek Indonesia (BEI)

... pengaruh Risk Base Capital (RBC) dan pertumbuhan premi neto terhadap Return On Investment (ROI) pada perusahaan asuransi yang terdaftar di Bursa Efek Indonesia (BEI) pada periode 2008 sampai dengan ...

9

BAB I PENDAHULUAN 1. 1. Latar Belakang Penelitian - Pengaruh Risk Base Capital (RBC) Dan Pertumbuhan Premi Neto Terhadap Return On Investment (ROI) Pada Perusahaan Asuransi Yang Terdaftar Di Bursa Efek Indonesia (BEI)

BAB I PENDAHULUAN 1. 1. Latar Belakang Penelitian - Pengaruh Risk Base Capital (RBC) Dan Pertumbuhan Premi Neto Terhadap Return On Investment (ROI) Pada Perusahaan Asuransi Yang Terdaftar Di Bursa Efek Indonesia (BEI)

... dan Risk Base Capital (RBC) yang digunakan untuk mengukur kemampuan modal sendiri terhadap resiko klaim, untuk menjamin kemampuan terhadap resiko tersebut perusahaan asuransi harus menyiapkan dana ...

8

Social Capital as a Predictor of Prosocial Risk Behavior among Adolescents

Social Capital as a Predictor of Prosocial Risk Behavior among Adolescents

... However, risk behavior can also be related to positive ...social capital in decreasing these ...social capital in adolescents’ prosocial risk ...social capital in predicting adoles ...

7

PENGARUH RISK BASED CAPITAL TERHADAP PROFITABILITAS PADA PERUSAHAAN ASURANSI SYARIAH : Studi Kasus Pada PT. Asuransi Takaful Umum Dan PT. Asuransi Takaful Keluarga Periode 2004-2010.

PENGARUH RISK BASED CAPITAL TERHADAP PROFITABILITAS PADA PERUSAHAAN ASURANSI SYARIAH : Studi Kasus Pada PT. Asuransi Takaful Umum Dan PT. Asuransi Takaful Keluarga Periode 2004-2010.

... of Risk Based Capital and insurance profitability at ...the Risk Based Capital has negative effect on the profitability of ...the Risk Based Capital to Profitability with medium ...

44

Bank health; risk profile approach, good corporate governance, income, and capital

Bank health; risk profile approach, good corporate governance, income, and capital

... Berdasarkan analisis terhadap 11 aspek penilaian Good Corporate Governance (GCG) yang meliputi Governance Structure, Governance Process, dan Governance Output menunjukkan dai tahun 2013-2015 Bank Muamalat Indonesia Tbk ...

8

The IND Trading Company Ltd.

The IND Trading Company Ltd.

... 1 (One) month notice to withdraw, pays 1.5% compounded interest monthly, commission at 2% for all new investments and money. 3 (Three) month notice to withdraw, pays 2.0% compounded interest monthly, commission at 2% for ...

10

Incentives to save the forest web 1

Incentives to save the forest web 1

... In this briefing, we consider capital instruments, equity, loans, bonds and grants which supply capital, and risk mitigation instruments insurance, credit guarantees and off-take agreeme[r] ...

22

Slide MGT305 Slide12

Slide MGT305 Slide12

... Determination of Regulatory Capital •The last approach is the advanced measurement approach AMA in which operational risk regulatory capital requirement is calculated by the bank [r] ...

6

 this  file 866 3459 1 PB

this file 866 3459 1 PB

... Kinerja keuangan PT. Asei Reasuransi Indonesia (Persero) dari tahun 2011 sampai dengan tahun 2013 berdasarkan analisis rasio keuangan sudah sangat baik dan cenderung stabil. Kinerja keuangan perusahaan dapat dikatakan ...

9

IFSB.Capital.Adequacy.Standard.15feb2006

IFSB.Capital.Adequacy.Standard.15feb2006

... the risk attaching to the progress payments due from the ultimate customer to the Muḍā rib will be the credit risk of the ultimate ...credit risk of the IIFS’s exposure to the Muḍ ā ...the ...

71

PENDAHULUAN  PERINGKAT BANK BERDASARKAN UKURAN KINERJA INTELLECTUAL CAPITAL DAN BERDASARKAN RGEC (RISK PROFILE, GOOD CORPORATE GOVERNANCE, EARNINGS, CAPITAL).

PENDAHULUAN PERINGKAT BANK BERDASARKAN UKURAN KINERJA INTELLECTUAL CAPITAL DAN BERDASARKAN RGEC (RISK PROFILE, GOOD CORPORATE GOVERNANCE, EARNINGS, CAPITAL).

... ( Risk-Based Bank Rating) yang tertuang dalam Peraturan Bank Indonesia ...( Risk-Based Bank Rating ) adalah penilaian yang komprehensif dan terstruktur yang terdiri dari Aspek Risk (Risiko), Good ...

6

INVESTMENT DECISION IN THE AGENCY THEORY FRAMEWORK | Nugroho | MIX: JURNAL ILMIAH MANAJEMEN 1 SM

INVESTMENT DECISION IN THE AGENCY THEORY FRAMEWORK | Nugroho | MIX: JURNAL ILMIAH MANAJEMEN 1 SM

... with capital investment, information, and firm value around the area; moreover, risk, debt, and leverage with firm performance around them followed by growth with R & D investment, R & D ...

17

Pengaruh Capital, Risk Profile, Earning Dan Liquidity Terhadap Nilai Perusahaan Bank-Bank Umum Go Public Di Indonesia Periode 2012-2014

Pengaruh Capital, Risk Profile, Earning Dan Liquidity Terhadap Nilai Perusahaan Bank-Bank Umum Go Public Di Indonesia Periode 2012-2014

... Hasil penelitian ini diharapkan dapat memberikan manfaat kepada perusahaan perbankan untuk menganalisis laporan keuangan perusahaan dalam mengevaluasi capital, risk profile, earning dan liquidity . Selain ...

10

Pengaruh Capital, Risk Profile, Earning Dan Liquidity Terhadap Nilai Perusahaan Bank-Bank Umum Go Public Di Indonesia Periode 2012-2014

Pengaruh Capital, Risk Profile, Earning Dan Liquidity Terhadap Nilai Perusahaan Bank-Bank Umum Go Public Di Indonesia Periode 2012-2014

... dari capital, risk profile, management, earning dan ...sisi capital, kinerja bank dilihat dari kemampuan bank dalam memenuhi kecukupan ...modal. Risk profile diartikan sebagai resiko inheren ...

91

Beta in the Context of the Capital Asset Pricing Model

Beta in the Context of the Capital Asset Pricing Model

... Keywords: paper on beta, essay on the Capital Asset Pricing Model, risk free return, risk premium, New York stock exchange, beta coefficient, Yahoo Finance.. Article Body: The economic[r] ...

1

ERM 2015 Session 1   Market and Economic  Environment

ERM 2015 Session 1 Market and Economic Environment

... The macroeconomic impact of the global volatility 3 The Fed interest rate hike Risk of capital outflow Risk of assets re pricing Exchange rate depreciation Improve trade bal[r] ...

27

Furrer The Structure and evolution of strategic management

Furrer The Structure and evolution of strategic management

... data base issues, design school, discriminant analysis, empirical methods issues, entropy measure of diversification, event study, expectancy theory, factor analysis, field research, field study, institutional ...

23

Show all 10000 documents...

Related subjects