Items where Subject is "H Social Sciences > HG Finance"

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Number of items at this level: 101.

A

Amalia, Alvien Nur Berkas Pengajaran Matakuliah Manajemen Keuangan Islami 20201. [Teaching Resource] (Unpublished)

Ananda, Gadis Ditya (2019) Analisis Pengaruh Non Performing Financing, Beban Operasional Pendapatan Operasional, Capital Adequacy Ratio, Financing to Deposit Ratio Terhadap Profitabilitas Pada 13 Bank Umum Syariah Periode 2013-2017. S1 thesis, STIE Indonesia Banking School.

D

Dwiandrini, Regina Meuthya (2020) Faktor- Faktor Internal Dan Eksternal Penentu Kredit Bermasalah Pada Bank Umum Persero Yang Tercatat Di Bursa Efek Indonesia Periode 2013-2018. S1 thesis, STIE Indonesia Banking School.

de Jager, Johan W and Wulandari, Nuri and Wannenburg, Elizma (2020) Cross Country Analysis of Online Banking Service Quality in South Africa and Indonesia. Cross Country Analysis of Online Banking Service Quality in South Africa and Indonesia, 8 (4). pp. 194-293. ISSN 2148-0192

E

Erric Wijaya, Erric Economic Value Added Dan Rasio Keuangan Sebagai Faktor Yang Mempengaruhi Return Saham (Studi Pada Sub Sektor Perbankan Di BEI Periode 2014-2018). In: SENIMA 5, 5 Oktober 2020, Universitas Negeri Surabaya.

F

Ferli, Ossi and Fauzia, Shaffira Nuriklima and Christiani, Adinda Emilia (2020) SIZE OF BOARD EFFECT RETURN ON ASSET AND RETURN ON EQUITY OF BANKING SECTOR IN INDONESIA. In: Call for Paper - 2nd International Seminar on Accounting Society under the theme "The Impact of Artificial Intelligent on Accounting For Society 5.0 ”, 2 Juli 2020, Online. (Unpublished)

H

Harun, Paulina (2020) Penelitian Hibah Internal dengan judul "Analisis Dinamis Hubungan Antara Harga Saham dan Variabel Makroekonomi". UNSPECIFIED. (Unpublished)

Harun, Paulina and Hutagalung, Devina Marliza and Rachmadita, Windy and Sholihah, Mevia Nurul Analisis Faktor Makro Ekonomi Terhadap Indeks Harga Saham Sektor Pertanian Periode 2014-2018. Perpustakaan IBS. (Unpublished)

Hastuti, Diah Budhiani (2019) Analisis Pengaruh Kinerja Keuangan, Leverage, Corporate Social Responsibility dan Keputusan Investasi Terhadap Nilai Perusahaan Dengan GCG sebagai Variabel Moderasi Pada Perusahan Manufaktur Periode 2012-2017. S1 thesis, STIE Indonesia Banking School.

Horiza, Melza (2019) Pengaruh Financial Knowledge, Financial Attitude dan Internal Locus of Control terhadap Financial Management Behavior Generasi Millennial (Studi Kasus Mahasiswa/i S1 Indonesia Banking School). S1 thesis, STIE Indonesia Banking School.

I

Idawati, Wiwi Pelaporan BKD 2019-2. [Teaching Resource] (Unpublished)

Isabella, Isabella (2019) Pengaruh Rasio Keuangan terhadap Kecurangan Pelaporan Keuangan Sektor Perbankan di Bursa Efek Indonesia Periode 2015-2017. S1 thesis, STIE Indonesia Banking School.

J

Jakti, Enggar Prima (2019) Analisis Kinerja Keuangan Pada PT Ciputra Development Tbk Dan Sinarmas Land Tbk Pada Periode 2012. S1 thesis, STIE Indonesia Banking School.

K

Karyani, Etikah and Dewo, Setio Anggoro and Frensidy, Budi and Santoso, Wimboh (2019) Peer Review IJBS 02 - Role of Risk Governance in Promoting Operational Risk Disclosure and Performance: An ASEAN-5 Banking Perspective. Faculty of Economics and Business, Universiti Malaysia Sarawak, Malaysia.

Karyani, Etikah and Dewo, Setio Anggoro and Frensidy, Budi and Santoso, Wimboh (2019) Role of Risk Governance in Promoting Operational Risk Disclosure and Performance: An ASEAN-5 Banking Perspective. International Journal of Business and Society, 20 (3). pp. 1218-1235. ISSN 15116670

Karyani, Etikah and Dewo, Setio Anggoro and Frensidy, Budi and Santoso, Wimboh Turnitin IJBS: Role of Risk Governance in Promoting Operational Risk Disclosure and Performance: An Asean-5 Banking Perspective. International Journal of Business and Society.

Karyani, Etikah and Dewo, Setio Anggoro and Santoso, Wimboh and Frensidy, Budi (2019) Peer Review IJOEM 01: Risk governance and bank profitability in ASEAN-5: a comparative and empirical study. Emerald Publishing, International Journal of Emerging Markets.

Karyani, Etikah and Dewo, Setio Anggoro and Santoso, Wimboh and Frensidy, Budi (2019) Risk governance and bank profitability in ASEAN-5: a comparative and empirical study. International Journal of Emerging Markets, 15 (5). pp. 949-969. ISSN 1746-8809

Karyani, Etikah and Dewo, Setio Anggoro and Santoso, Wimboh and Frensidy, Budi (2019) Risk governance and bank profitability in ASEAN-5: a comparative and empirical study. Emerald Publishing, International Journal of Emerging Markets.

Karyani, Etikah and Martani, Dwi (2014) Implicit and Explicit Taxes: Study of Asia Pacific Banking. Implicit and Explicit Taxes: Study of Asia Pacific Banking, 17 (2). pp. 185-206. ISSN 2086-6887

Karyani, Etikah and Martani, Dwi Peer Review IJAR 2014: Implicit and Explicit Taxes: Study of Asia Pacific Banking. Faculty of Economics and Business, Gadjah Mada University, The Indonesian Journal of Accounting Research.

Karyani, Etikah and Martani, Dwi Turnitin IJAR 2014: Implicit and Explicit Taxes: Study of Asia Pacific Banking. Faculty of Economics and Business, Gadjah Mada University, The Indonesian Journal of Accounting Research.

Karyani, Etikah and Maulina, Vina ESG and Performance: Effect of government ownership and green bond issuer. In: INTERNATIONAL CONFERENCE ON SUSTAINABLE MANAGEMENT AND INNOVATION 2020. (Unpublished)

Karyani, Etikah and Maulina, Vina ESG and Performance: Effect of government ownership and green bond issuer. In: InternationalConference on Sustainable Management and Innovation (ICoSMI) 2020, 14—16 September 2020. (Unpublished)

Karyani, Etikah and Maulina, Vina ESG and Performance: Effect of government ownership and green bond issuer. ESG and Performance: Effect of government ownership and green bond issuer. (Unpublished)

Karyani, Etikah and Obrien, Vangi Vinanda (2020) GREEN BANKING AND PERFORMANCE: THE ROLE OF FOREIGN AND PUBLIC OWNERSHIP. Jurnal Dinamika Akuntansi dan Bisnis, 7 (2). pp. 221-234. ISSN 2355 9462

Karyani, Etikah and Rossieta, Hilda (2018) Generic Strategies and Financial Performance Persistence in the Banking Sector in Indonesia. Generic Strategies and Financial Performance Persistence in the Banking Sector in Indonesia, 17 (1). pp. 79-95. ISSN 2600-7975

Karyani, Etikah and Rossieta, Hilda Turnitin MAR: Generic Strategies and Financial Performance Persistence in the Banking Sector in Indonesia. Faculty of Economics and Business, Universiti Malaysia Sarawak, Malaysia, Management & Accounting Review.

Karyani, Etikah and Sidharta, Utama Turnitin JEBA: Ownership concentration and bank risk (A study on banking sectors in Indonesia). Pusat Penelitian dan Pengabdian Masyarakat Sekolah Tinggi Ilmu Ekonomi (PPPM STIE), Journal of Economics, Business, and Accountancy Ventura.

Karyani, Etikah and Utama, Sidharta (2015) Ownership concentration and bank risk (A study on banking sectors in Indonesia). Journal of Economics, Business, and Accountancy Ventura, 18 (1). pp. 189-200. ISSN 2087-3735

Karyani, Etikah and Utama, Sidharta Peer Review JEBA 01: Ownership concentration and bank risk (A study on banking sectors in Indonesia). Pusat Penelitian dan Pengabdian Masyarakat Sekolah Tinggi Ilmu Ekonomi (PPPM STIE), Journal of Economics, Business, and Accountancy Ventura.

M

Marciandini, Shalsabila (2019) Analisis Pengaruh Tingkat Bagi Hasil, Jumlah Kantor, Dan Ukuran Bank Terhadap Dana Pihak Ketiga Pada Bank Syariah Di Indonesia. S1 thesis, STIE Indonesia Banking School.

Meirine, Mouldy and Karyani, Etikah (2017) Risk Governance and Performance: Research on Indonesian and Malaysian Banking. THE INDONESIAN JOURNAL OF ACCOUNTING RESEARCH, 2 (2). pp. 283-308. ISSN 2086-6887

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Nelmida, Nelmida Analisis Risiko Kebangrutan pada Perusahaan Bank Umum Swasta Nasional yang Terdaftar di Bursa Efek Indonesia. Jurnal Akuntansi Keuangan dan Bisnis Politeknik Caltex Riau, 11 (1). pp. 99-109. ISSN 2476-9460

Nelmida, Nelmida (2020) B. Bidang Penelitian: Jurnal Internasional. International Journal of Business and Economy, 2 (3). pp. 8-23. ISSN 26828359

Nelmida, Nelmida Bidang Pengajaran BKD Genap 2019/2020. [Teaching Resource] (Unpublished)

Nelmida, Nelmida (2010) Egarch Model to Evaluate the Impact of New Information Regime on dual and non-dual Listed Companies the Jakarta and Surabaya Stock Exchange. In: International conference on business and economics (ICBE), 11 Februari 2012, Padang.

Nelmida, Nelmida (2018) Faktor yang Menentukan Nilai Yoeld to Maturity Obligasi Korporasi. In: Seminar Nasional "Peranan Sistem Informasi dalam Ekonomi Ktreatif Sebagai Elemen Peningkatan Daya Saing Indonesia ", 9 Agustus 2018, Malang Jawa Tengah.

Nelmida, Nelmida (2019) The Impact of Interest Rate, Inflation Rate, Time to Maturity and Bond Rating: Indonesia Case. International Journal of Economics, Business and Entrepreneurship, 2 (1). pp. 27-40. ISSN 2615-6873

Nelmida, Nelmida (2018) The Impact of New Information Regime on Pricing Efficiency of Dual and Non Dual Listed Companies on the Jakarta and Surabaya Stock Exchanges. European Journal of Social Sciences, 6 (2). pp. 15-23. ISSN 1450-2267

Nelmida, Nelmida The Impact of New Information Regime on the Indonesian Stock Exchanges: The Weak Form Efficiency Hypothesis. ASEAN ENTREPRENEURSHIP JOURNAL, 4 (2). pp. 59-64. ISSN 2637-0301

Nelmida, Nelmida (2009) Impact of the New Information Regim on the Jakarta Stock Exchange. Impact of the New Information Regim on the Jakarta Stock Exchange, 33. pp. 154-167. ISSN 1450-2887

Nelmida, Nelmida (2020) Is Indonesia Stock Exchange Semi-Strong Form Efficiency? Jurnal Manajemen UNTAR, 24 (2). pp. 313-341. ISSN 549-8797

Nelmida, Nelmida (2018) Macroeconomic Variables and Stock Market Interactions: Indonesia Evidence. Insight Journal Universiti Technology Mara Cawangan Johor, 2. pp. 86-98. ISSN 1450-2267

Nelmida, Nelmida (2019) Potensi Financial Distress Bank Umum Syariah Indonesia. Jurnal Ekonomi, Manajemen dan Perbankan, 5 (3). pp. 156-160. ISSN 2656-6168

Nelmida, Nelmida (2018) Reaksi Pasar Modal dengan adanya Pengumuman Penerbitan Warrant terhadap Harga Saham. In: Seminar Nasional Membangun "Akuntabilitas Keuangan Melalui Karakter Anti Korupsi", Sabtu, 13 Januari 2018, Tanggerang Selatan.

Nelmida, Nelmida (2020) Sustainability Reporting on Company Financial Performance. International Journal of Business and Economy, 2 (3). pp. 8-23. ISSN 2682-8359

Nelmida, Nelmida (2019) What are the factors financial distress? The National Private Commercial Banks in Indonesia Case. International Journal of Entrepreneurial Research, 2 (2). pp. 13-20. ISSN 2663 7588

Nelmida, Nelmida (2010) The impact of new information regime on dual and non-dual Listed Companies in the Jakarta and Surabaya Stock Exchanges by Using variance ratio test. In: International conference on business and economics (ICBE), 15 April 2010, Bukittinggi.

Nemida, Nelmida (2016) Pengaruh Perubahan Penjualan, Capital Intensity Ratio, Debt to Asset Ratio, dan Current Ratio terhadap Cost Stickiness dalam Perusahaan di Bursa Efek Indonesia. Jurnal Ekonomi, Manajemen, dan Perbankan, 2 (1). pp. 1-10. ISSN 2302-4119

O

Ossi, Ferli PENGARUH MODAL INTELEKTUAL PENGELOLA REKSA DANA TERHADAP RETURN DAN RISIKO REKSA DANA SAHAM DI INDONESIA PADA TAHUN 2019. In: Seminar Nasional & Call for Papers, 17 September 2020, Universitas Yarsi. (Unpublished)

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Paulina, Paulina (2016) Structure changes, the contribution of sectors, income per capita Indonesia in 1990 – 2014. Journal of Economics, Business & Accoutancy : Ventura, 19 (3). pp. 293-304. ISSN 2888-785X

Prabantarikso, R. Mahelan (2018) The Importance of Penta-Helix Collaboration on Sustainable Housing Development for Low Income Communities in Indonesia. International Journal of Applied Business and Economic Research, 16 (2). pp. 1-11. ISSN 0972-7302

Purnama, Adhinda Ghina and sparta, sparta (2020) PENGARUH TATA KELOLA PERUSAHAN DAN INTENSITAS MODAL TERHADAP PENGHINDARAN PAJAK (KASUS PADA PERUSAHAAN MANUFAKTUR YANG TERDAPAT DI BURSA EFEK INDONESIA). S1 thesis, Program S-1 Akuntansi Indonesia Banking School.

Puspita, Puspita Pengajaran Kegiatan Perbankan Internasional - 2019.2. [Teaching Resource] (Unpublished)

Putra, Rhesa Yasviandra (2020) Moderasi Political Connection Pada Pengaruh Earnings Quality, Tax Avoidance, Dan Tax Risk Terhadap Cost Of Debt. S1 thesis, STIE Indonesia Banking School.

Putri, Vidiyanna Rizal and Andriani, Meta (2018) Peran Kemampuan Manajemen dalam Meningkatkan Kinerja Keuangan. Jurnal Manajemen Dayasaing, 20 (2). pp. 90-95. ISSN 411-3422

Putri, Vidiyanna Rizal and Andriani, Meta and Mangifera, Liana (2019) Faktor Kemampuan Non Keuangan: Berpengaruh Pada Model Pengembangan Pada Industri Batik (Studi pada Kampung Batik Laweyan). Jurnal Akuntansi Keuangan dan Bisnis, 12 (2). pp. 11-18. ISSN 2085-0751

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Rizal Putri, Vidiyanna DOKUMEN PENGAJARAN. [Teaching Resource]

Rizal Putri, Vidiyanna (2020) PENGHINDARAN PAJAK PADA BANK UMUM : DIPENGARUHI OLEH KARAKTER EKSEKUTIF, KUALITAS AUDIT, KOMITE AUDIT, KOMPENSASI RUGI FISKAL, DAN RETURN ON ASSETS. Jurnal Dayasaing, 22 (1). pp. 12-20. ISSN 2541-254X

S

Sirait, Kevin Bastian and Simatupang, Batara Maju (2019) Exchange Rate Forecasting and Value-at-Risk Estimation on Indonesian Currency Using Copula Method. In: Proceedings of the 3rd International Conference on Accounting, Management and Economics 2018 (ICAME 2018).

Sparta, Sparta (2019) PENGARUH DEBT COVENANT, BONUS PLAN, DAN POLITICAL COST TERHADAP KONSERVATISME AKUNTANSI. Equity, 22 (1). pp. 47-62. ISSN ISSN Print 0216-8545; ISSN On Line: 2684-9739

Sparta, Sparta (2005) Pengaruh ROE-EPS dan OCF terhadap Harga Saham Industri Manufacturing. Jurnal Akuntansi, 9 (1). ISSN ISSN:1410-3591

sparta, sparta (2010) ANALISIS CAPM, APT, MONDAY EFFECT DAN EFISIENSI PASAR MODAL PADA SEKTOR KEUANGAN DI BEI (PERIODE JANUARI – JUNI 2010). Jurnal Keuangan dan Perbankan, 7 (1). ISSN 1829-9865

sparta, sparta (2011) ANALISIS EVENT STUDY: DAMPAK BOM BALI II, JW MARRIOTTS DAN RITZ-CARLTON TERHADAP HARGA SAHAM DI BURSA EFEK INDONESIA (STUDY KASUS SAHAM INDUSTRI PERBANKAN). JURNAL KEUANGAN DAN PERBANKAN.

sparta, sparta (2012) ANALISIS HUBUNGAN INVESTMENT OPPORTUNITY SETS, PROFITABILITAS, LIKUIDITAS DAN HUTANG DENGAN KEBIJAKAN DIVIDEN (Studi di Bursa Efek Indonesia Periode 2003 - 2007). Jurnal Keuagan dan Perbankan, 9 (1). pp. 1-21. ISSN 1829-9865

sparta, sparta (2013) ANALISIS PENGARUH EARNINGS PER SHARE (EPS), PRICE EARNINGS RATIO (PER), RETURN ON EQUITY (ROE) DAN RETURN ON ASSETS (ROA) TERHADAP HARGA SAHAM (Studi Pada Perusahaan Properti, Real Estate Dan Konstruksi Bangunan Di Bursa Efek Indonesia Periode 2009-2011). Ultima Accounting, 5 (1). pp. 77-93. ISSN 2085-4595

sparta, sparta (2017) ANALISIS PENGARUH EFISIENSI DAN KECUKUPAN MODAL TERHADAP KINERJA KEUANGAN PADA BANK PEMBANGUNAN DAERAH DI INDONESIA. Jurnal Ekonomi dan Bisnis, 20 (1). pp. 87-115. ISSN ISSN 1979 - 6471

sparta, sparta (2001) Analisis Study "Key" dan "Han & Wang" Biaya Politik dan Pengelolaan Laba. Jurnal Akuntansi, 5 (1). pp. 64-74. ISSN ISSN: 1410-8591

sparta, sparta (2017) Bank Lending - Theory and Practice. Islamic Bank Lending- An Introduction overview with Foocus on Indonesiaan Sharia Banks, 2e . McGraw-Hill, Australi. ISBN ISBN-10; 1-76-042156-1; ISBN-13; 978-1-76-042156-4

sparta, sparta (2020) DAMPAK GOOD CORPORATE GOVERNANCE TERHADAP KINERJA PERBANKAN: MARKET RISK SEBAGAI INTERVENING. equity, 23 (2). pp. 167-188. ISSN P-ISSN 0216-8545 | E-ISSN 2684-9739

sparta, sparta (2011) DAMPAK KEBIJAKAN KENAIKAN HARGA BBM DAN BANTUAN LANGSUNG TUNAI TERHADAP POVERTY INCIDENCE DI PROVINSI SUMATERA BARAT TAHUN 2005. Jurnal Ilmu Manajemen & Ekonomika Desember 2011.ISSN No.2089-4309, 1 (1). pp. 1-12. ISSN .ISSN: 2089-4309

sparta, sparta (2018) DAMPAK KEGIATAN OFF BALANCE SHEET TERHADAP RISIKO PERBANKAN DI INDONESIA. In: Isu-isu Zakat, Wakaf dan Filantropi Islam di Nusantara. Akademi Pengajian Islam Kontemporari, Universiti Teknologi MARA, 40450 Shah Alam, Selangor Darul Ehsan, Malaysia, pp. 167-181. ISBN ISBN 978-967-18-91-3

sparta, sparta (2019) DAMPAK MANAJEMEN LABA TERHADAP NILAI PERUSAHAN TERDAFTAR INDEKS LQ45. In: SNA22-Jayapura-2019-"PERAN DAN TANTANGAN AKUNTAN PENDIDIK UNTUK MENDORONG PRAKTEK GOOD GOVERNANCE DAN PENCEGAHAN FRAUD DI ERA REVOLUSI INDUSTRI 4.0", 7-8 Oktober 2019, Universitas Cendrawasih, Jayapura-Papua.

sparta, sparta (2018) DETERMINANTS OF THE CAPITAL STRUCTURE EVIDENCE FROM THE PROPERTY AND REAL ESTATE COMPANIES LISTED IN INDONESIA STOCK EXCHANGE. International Journal of Current Advanced Research, 7 (4). pp. 11328-11334. ISSN ISSN: O: 2319-6475, ISSN: P: 2319-6505,

sparta, sparta (2016) Dampak Environmental Performance dan Environmental Disclosure Terhadap profitabilitas Perusahaan. Jurnal Keuangan dan Perbankan, 13 (1). pp. 35-54. ISSN 1829-9865

sparta, sparta (2017) Impact Foreign Ownership on Efficiency of Private Bank in Indonesia. International Journal of Applied Business and Economic Research, 15 (6). pp. 187-201. ISSN ISSN : 0972-7302

sparta, sparta (2014) Influence of Efficiency and Capital Adequacy on Financial Performance’s Regional Development Banks (BPD) in Indonesia. In: Annual Shanghai Business, Economics and Finance Conference, 3-4 November 2014, Shanghai University of International Business and Economics, Shanghai, China.

sparta, sparta (2002) Kandungan Informasi Data Akuntansi terhadap Estimasi Beta Saham di Bursa Efek Indonesia. S2 thesis, PROGRAM PASCA FEB UNIVERSITAS INDONESIA.

sparta, sparta (2001) Kekuasaan, Politik dan Kepuasaan Kerja: Suatu Pendekatan Kasus. Jurnal Manajemen, 5 (1). pp. 37-51. ISSN ISSN: 1410-358

sparta, sparta (2008) Mengenal Keunggulan Praktek Perbankan Syariah di Indonesia. JURNAL EKONOMI, 12 (3). pp. 347-357. ISSN ISSN No.0854-9842

sparta, sparta (2015) PENGARUH FAKTOR SPESIFIK BANK DAN MAKRO EKONOMI TERHADAP RISIKO KREDIT PERBANKAN DI INDONESIA. Jurnal Ekonomi, Manajemen dan Perbankan,:, 1 (3). pp. 12-136. ISSN ISSN 2460-8114

sparta, sparta (2000) PENGARUH FAKTOR-FAKTOR FUNDAMENTAL LEMBAGA KEUANGAN BANK TERHADAP HARGA SAHAMNYA DI BURSA EFEK JAKARTA. Jurnal Akuntansi, 4 (1). pp. 54-69. ISSN ISSN 1410-3591

sparta, sparta (2019) PENGARUH MEDIA EXPOSURE TERHADAP PENGUNGKAPAN CORPORATE SOCIAL RESPONSIBILITY PERUSAHAAN MANUFAKTUR TERDAFTAR DI BEI. equity, 22 (1). pp. 12-25. ISSN P-ISSN 0216-8545 | E-ISSN 2684-9739

sparta, sparta (2005) PENGARUH ROE, EPS, DAN OCF TERHADAP HARGA SAHAM INDUSTRI MANUFACTURING DI BURSA EFEK JAKARTA. Jurnal Akuntansi, (2005), 9 (1). ISSN 1410-3591

sparta, sparta (2004) Pengaruh Data Akutansi Terhadap Beta Saham di Bursa Efek Jakarta. Jurnal Akuntansi, 8 (2). pp. 167-181. ISSN ISSN: 1410-3591

sparta, sparta (2015) Pengaruh Intelectual Capital terhadap Kinerja Perusahaan Studi Analisis dengan pendekatan partial least squares (studi pada perbankan yang terdaftar di Bursa Efek Indonesia Periode 2012-2013). Ultima Acconting, 7 (1). pp. 21-35. ISSN 2085-4595

sparta, sparta (2017) Portion of Foreign Ownership and Efficiency of Banks in Indonesia. Selected Papers from the Asia-Pacific Confrence on Economic & Finance(APEF 2016) . Springer, Singapore. ISBN 978-981-10-3565-4; 978-981-10-3566-1 eBook

sparta, sparta (2000) Prospek Merger Bank Mandiri. Jurnal Keuangan dan Perbankan - Finance & Banking Journal, 3 (2). pp. 50-52. ISSN ISSN: 1410-8623

sparta, sparta (2006) RELEVANKAH INFORMASI FUNDAMENTAL BANK BAGI INVESTOR DI BURSA EFEK JAKARTA? Jurnal Ekonomi, 11 (1). ISSN 0854-9842

sparta, sparta (2016) RISIKO KREDIT DAN EFISIENSI PERBANKAN DI INDONESIA. MIX: Jurnal Ilmiah Manajemen,, 6 (6). pp. 28-44. ISSN ISSN:2088-1231; E-ISSN: 2460-5328

sparta, sparta (2015) STUDI RISIKO DAN EFISIENSI PERBANKAN DI INDONESIA. S3 thesis, PROGRAM PASCA FEB UNIVERSITAS PADJAJARAN.

sparta, sparta (2020) berita acara kuliah Akuntansi keuangan menengah II , semester genap tahun ajaran 2019-2. [Teaching Resource]

sparta, sparta (2020) berita acara perkuliahan manajemen risiko, semester genap tahun ajaran 2019-2. [Teaching Resource]

sparta, sparta and Rheadanti, Desak Kadek (2019) PENGARUH MEDIA EXPOSURE TERHADAP PENGUNGKAPAN CORPORATE SOCIAL RESPONSIBILITY PERUSAHAAN MANUFAKTUR TERDAFTAR DI BEI. Equity, 22 (1). pp. 12-25. ISSN ISSN Print 0216-8545; ISSN On Line: 2684-9739

sparta, sparta and Rheadhanti, Desak Kadek (2019) PENGARUH MEDIA EXPOSURE TERHADAP PENGUNGKAPAN CORPORATE SOCIAL RESPONSIBILITY PERUSAHAAN MANUFAKTUR TERDAFTAR DI BEI. Equity, 22 (1). pp. 12-25. ISSN ISSN Print: 026-8545, dam ISSN On line: 2684-9739

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Veterina, Isbandini and Adzani, Muhammad Akbar and Maulana, Qutraja Arkan and Ibrahim, Afif Malik PENGARUH PERAN MODAL INTELEKTUAL DAN PROFITABILITAS TERHADAP KINERJA MODAL INTELEKTUAL DAN KAPITALISASI PASAR PERUSAHAAN PADA SEKTOR PERBANKAN YANG TERCATAT DALAM BURSA EFEK INDONESIA (BEI) PADA TAHUN 2014-2018. Laporan Hasil Penelitian. (Unpublished)

Veterina, Isbandini and Destiana, Dinda Elva and Pratiwi, Eka Yuning and Shafira, Putri Nurul Pengaruh Dividend Policy, Earning per Share, Return on Equity, dan Profit Aftre Tax Terhadap Stock Price pada Saham yang Terdaftar di BEI Tahun 2016 – 2019. Laporan Hasil Penelitian. (Unpublished)

Veterina, Isbandini and Ferli, Ossi ANALISIS TINGKAT LITERASI KEUANGAN PERSONAL BERDASARKAN FAKTOR-FAKTOR DEMOGRAFI SERTA PENGARUHNYA TERHADAP PERILAKU KEUANGAN MAHASISWA PERGURUAN TINGGI SWASTA DI JAKARTA. Laporan Hasil Penelitian. (Unpublished)

vidiyanna, Rizal Putri Lampiran Pengajaran Perpajakan Menengah. [Teaching Resource] (Unpublished)

Y

Yanti, Indah Gusri (2019) Analisis Perbandingan Kinerja Keuangan pada Sebelum dan Sesudah Merger (Studi Kasus Pada PT Bank Woori Saudara Tbk). S1 thesis, STIE Indonesia Banking School.

This list was generated on Sun Feb 28 13:00:54 2021 WIB.