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Risk Ratio

INTRODUCTION  THE PERFORMANCE ANALYSIS OF EQUITY FUNDS USING RISK ADJUSTED RETURN, RISK RATIO AND SNAIL TRAIL.

INTRODUCTION THE PERFORMANCE ANALYSIS OF EQUITY FUNDS USING RISK ADJUSTED RETURN, RISK RATIO AND SNAIL TRAIL.

... The goal of this research is to compare the equity funds performance with the market performance. The analysis used to compare the equity funds performance with the market performance is Risk Adjusted Return ...

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PENGARUH CAPITAL ADEQUACY RATIO BIAYA OPERASIONAL PENDAPATAN OPERASIONAL LOAN TO DEPOSIT RATIO DAN INTEREST RISK RATIO TERHADAP PERTUMBUHAN LABA PADA PERUSAHAAN PERBANKAN YANG TERDAFTAR DI BURSA EFEK INDONESIA

PENGARUH CAPITAL ADEQUACY RATIO BIAYA OPERASIONAL PENDAPATAN OPERASIONAL LOAN TO DEPOSIT RATIO DAN INTEREST RISK RATIO TERHADAP PERTUMBUHAN LABA PADA PERUSAHAAN PERBANKAN YANG TERDAFTAR DI BURSA EFEK INDONESIA

... Interest Risk Ratio sudah diatur oleh regulator, dalam hal ini Bank Indonesia, hal ini menyebabkan IRR tidak berpengaruh signifikan terhadap pertumbuhan ...

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THE PERFORMANCE ANALYSIS OF EQUITY FUNDS USING RISK ADJUSTED RETURN, RISK RATIO AND SNAIL TRAIL.

THE PERFORMANCE ANALYSIS OF EQUITY FUNDS USING RISK ADJUSTED RETURN, RISK RATIO AND SNAIL TRAIL.

... of risk ratio is better because it shows the better ability of investment manager facing the market ...market risk, while the equity funds with underperform performance means that the investment ...

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CONCLUSION AND SUGGESTION  THE PERFORMANCE ANALYSIS OF EQUITY FUNDS USING RISK ADJUSTED RETURN, RISK RATIO AND SNAIL TRAIL.

CONCLUSION AND SUGGESTION THE PERFORMANCE ANALYSIS OF EQUITY FUNDS USING RISK ADJUSTED RETURN, RISK RATIO AND SNAIL TRAIL.

... This research analyzes equity funds from the result of monthly Net Asset Value for period January 2008 – December 2012. The objective of the study is to explain the equity fund performance by using risk adjusted ...

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THE PERFORMANCE ANALYSIS OF EQUITY FUNDS  THE PERFORMANCE ANALYSIS OF EQUITY FUNDS USING RISK ADJUSTED RETURN, RISK RATIO AND SNAIL TRAIL.

THE PERFORMANCE ANALYSIS OF EQUITY FUNDS THE PERFORMANCE ANALYSIS OF EQUITY FUNDS USING RISK ADJUSTED RETURN, RISK RATIO AND SNAIL TRAIL.

... The samples of this research are equity funds actively listed in BAPEPAM for period January 2008 until December 2012. The data is taken from each company’s monthly net assets value (NAV) for period January 2008 until ...

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PENGARUH CAPITAL, LIQUIDITY, EFFICIENCY, DAN RISK RATIO TERHADAP PROFITABILITAS SEKTOR PERBANKAN YANG TERDAFTAR DI BURSA EFEK INDONESIA.

PENGARUH CAPITAL, LIQUIDITY, EFFICIENCY, DAN RISK RATIO TERHADAP PROFITABILITAS SEKTOR PERBANKAN YANG TERDAFTAR DI BURSA EFEK INDONESIA.

... Cash Ratio berpengaruh negatif dan signifikan terhadap ...Deposit Ratio berpengaruh negatif tetapi tidak signifikan berpengaruh secara statistik terhadap ...Adequacy Ratio (CAR), Non Performing Loan ...

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THEORETICAL BACKGROUND  THE PERFORMANCE ANALYSIS OF EQUITY FUNDS USING RISK ADJUSTED RETURN, RISK RATIO AND SNAIL TRAIL.

THEORETICAL BACKGROUND THE PERFORMANCE ANALYSIS OF EQUITY FUNDS USING RISK ADJUSTED RETURN, RISK RATIO AND SNAIL TRAIL.

... Mutual fund owner will redeem the units and hope to get the cash as fast as possible. The liquidity risk may happen if units’ holders of a fund manager withdraw in the huge amount of money in a same time. On the ...

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Paparan iklan televisi terhadap pemilihan makanan dan asupan energi pada anak | Subardjo | Jurnal Gizi Klinik Indonesia 18852 37645 1 SM

Paparan iklan televisi terhadap pemilihan makanan dan asupan energi pada anak | Subardjo | Jurnal Gizi Klinik Indonesia 18852 37645 1 SM

... Besar sampel dalam penelitian ini dihitung menggunakan software Pass 11 12 dengan risk ratio gizi lebih akibat paparan iklan makanan dan minuman TV diperoleh dari penelitian sebelumnya [r] ...

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Directory UMM :wiley:Public:college:accounting:kimmel:

Directory UMM :wiley:Public:college:accounting:kimmel:

... Credit Risk Ratio A measure of the risk that a company’s customers may not pay their accounts Credit Risk Ratio = Allowance for Doubtful Accounts Accounts Receivables Changes in c[r] ...

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BAB I PENDAHULUAN 1.1 Latar Belakang Masalah - PENGARUH LIKUIDITAS, KUALITAS AKTIVA, SENSITIVITAS, EFISIENSI, DAN PROFITABILITAS TERHADAP CAPITAL ADEQUACY RATIO (CAR)PADA BANK UMUM SWASTA NASIONAL DEVISA - Perbanas Institutional Repository

BAB I PENDAHULUAN 1.1 Latar Belakang Masalah - PENGARUH LIKUIDITAS, KUALITAS AKTIVA, SENSITIVITAS, EFISIENSI, DAN PROFITABILITAS TERHADAP CAPITAL ADEQUACY RATIO (CAR)PADA BANK UMUM SWASTA NASIONAL DEVISA - Perbanas Institutional Repository

... Asset Ratio (LAR) berpengaruh positif terhadap CAR, menunjukkan kenaikan kredit yang diberikan dengan modal yang disediakan apabila terjadi risiko kredit dengan harapan pendapatan yang diterima lebih ...

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PENGARUH RETURN SAHAM, VOLUME PERDAGANGAN, DIVIDEND PAYOUT RATIO, DAN RISK OF RETURN TERHADAP BID ASK SPREAD SESUDAH STOCK SPLIT PADA PERUSAHAAN YANG TERDAFTAR DI BURSA EFEK INDONESIA PERIODE 2007-2012

PENGARUH RETURN SAHAM, VOLUME PERDAGANGAN, DIVIDEND PAYOUT RATIO, DAN RISK OF RETURN TERHADAP BID ASK SPREAD SESUDAH STOCK SPLIT PADA PERUSAHAAN YANG TERDAFTAR DI BURSA EFEK INDONESIA PERIODE 2007-2012

... Payout Ratio, dan Risk of Return terhadap Bid Ask Spread sesudah Stock ...dan risk of return berpengaruh signifikan terhadap bid ask spread serta variabel volume perdagangan dan dividend payout ...

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Analisis Faktor Fundamental Dan Resiko Sistematis Terhadap Tingkat Keuntungan Saham Perbankan Di...

Analisis Faktor Fundamental Dan Resiko Sistematis Terhadap Tingkat Keuntungan Saham Perbankan Di...

... adequacy ratio, return on risk assets, loan to assets ratio, net profit margin, operating profit margin, return on asset, return on equity, net interest margin, loan to deposit and systematic ...

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Q2 2014 June English

Q2 2014 June English

... MARKET RISK (A+B-C+E) 80,959,932 88,185,315 68,711,535 75,645,061 ...CREDIT RISK-WEIGHTED ASSETS 435,976,522 481,926,449 383,248,592 426,147,709 ...OPERATIONAL RISK-WEIGHTED ASSETS 67,786,852 ...

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Q3 2013 September English

Q3 2013 September English

... MARKET RISK (A+B-C+E) 71,127,175 78,140,617 60,983,062 66,582,393 ...CREDIT RISK-WEIGHTED ASSETS 410,422,011 453,401,615 329,453,269 366,337,401 ...OPERATIONAL RISK-WEIGHTED ASSETS 57,671,278 ...

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Q2 2013 June English

Q2 2013 June English

... MARKET RISK (A+B-C+E) 68,711,535 75,645,061 59,013,274 64,636,541 ...CREDIT RISK-WEIGHTED ASSETS 383,248,592 426,147,709 315,660,337 349,224,377 ...OPERATIONAL RISK-WEIGHTED ASSETS 57,671,278 ...

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ANALISIS FAKTOR-FAKTOR YANG MEMENGARUHI NET INTEREST MARGIN PADA PERUSAHAAN PERBANKAN YANG TERDAFTAR DI BEI.

ANALISIS FAKTOR-FAKTOR YANG MEMENGARUHI NET INTEREST MARGIN PADA PERUSAHAAN PERBANKAN YANG TERDAFTAR DI BEI.

... Rasio NPL bank yang menjadi sampel memiliki perubahan data yang kecil yaitu sekitar 70%, sehingga kurang memperlihatkan pengaruhnya terhadap pendapatan bunga yang diperoleh bank yang selanjutnya akan memengaruhi rasio ...

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Process, Risk Dashboard, Risk Management, Risk Map, Risk Mitigation, Value at Risk

Process, Risk Dashboard, Risk Management, Risk Map, Risk Mitigation, Value at Risk

... of Risk Management, ...the risk that embedded inside their company in order to achieve their ...objectives. Risk management can be used as the method to understand and anticipate risk inside ...

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A comprehensive management of hypertension among patients with metabolic syndrome: an evidence-based update

A comprehensive management of hypertension among patients with metabolic syndrome: an evidence-based update

... conclude that ACE inhibitor and ARB have a similar blood pressure control and outcome (including mortality and CV events). Both of these drugs have similar good control over risk factors, such as lipid control and ...

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The Relationship Between Retinol/Retinol Binding Protein 4 ratio, resistin and inflammation in non diabetic obese Indonesian men

The Relationship Between Retinol/Retinol Binding Protein 4 ratio, resistin and inflammation in non diabetic obese Indonesian men

... Retinol/RBP4 Ratio was ...low risk of inlammation, 1-3 mg/l for moderate risk, and 3-10 mg/l for high risk (according to CVD ...Retinol/RBP4 ratio was dichotomized into high ...

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Jakarta Islamic Index-L 45: Rate Financial Performance, Beta Stocks and Stock Price in Indonesian Stock Exchange

Jakarta Islamic Index-L 45: Rate Financial Performance, Beta Stocks and Stock Price in Indonesian Stock Exchange

... Earning Ratio (PER). Debt to Equity Ratio (DER), the Current Ratio (CR), Net Profit Margin (NPM) Return on Assets (ROE) and systematic risk (beta) on stock prices for companies incorporated in ...

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