Hasil Pencarian  ::  Kembali

Hasil Pencarian

Ditemukan 335 dokumen yang sesuai dengan query katakunci: "risk management"
cover
Hampton, John J., 1942-, author;
Managing financial risks comes down to understanding how to reduce a complex business environment into workable concepts and models. "The AMA Handbook of Financial Risk Management" provides readers with the tools they need for dealing with the most important areas of financial decision making. Filled with strategies, principles, and measurement...
New York: [American Management Association, ], 2011
e20437310
eBooks  Universitas Indonesia Library
cover
Mehr, Robert I.;
Homewood, Ill.: Richard D. Irwin, 1974
338.5 MEH r
Buku Teks  Universitas Indonesia Library
cover
Ahn, Mark J.;
Chicago: Probus Pub. Co, 1991
368 AHN s
Buku Teks  Universitas Indonesia Library
cover
World Health Organization. Cardiovascular Diseases Programme;
Geneva: World Health Organization, 2002
362.196 WOR w
Buku Teks  Universitas Indonesia Library
cover
Garvey, Paul R., author;
Boca Raton: CRC Press (Taylor & Francis Group), 2009
620.004 GAR a
Buku Teks  Universitas Indonesia Library
cover
Dickson, G..C..A.;
New York: Institute of Risk Management, 1987
368.07 DIC r
Buku Teks  Universitas Indonesia Library
cover
Risk model validation is an emerging and important area of research, and has arisen because of Basel I and II. These regulatory initiatives require trading institutions and lending institutions to compute their reserve capital in a highly analytic way, based on the use of internal risk models. It is part...
Elsevier/Academic Press, 2008
e20360455
eBuks (restricted)  Universitas Indonesia Library
cover
Operational Risk: Modeling Analytics is organized around the principle that the analysis of operational risk consists, in part, of the collection of data and the building of mathematical models to describe risk. Risk analysts with a framework of the mathematical models and methods used in the measurement and modeling of...
Wiley Interscience, 2006
e20360618
eBuks (restricted)  Universitas Indonesia Library
cover
The value-at-risk measurement methodology is a widely-used tool in financial market risk management, offers an accessible and reader-friendly look at the concept of VaR and its different estimation methods, and is aimed specifically at newcomers to the market or those unfamiliar with modern risk management practices. The author capitalises on...
John Wiley, 2006
e20360940
eBuks (restricted)  Universitas Indonesia Library
cover
Vicho Septian Darta, author;
Peran Teknologi Informasi (TI) dibutuhkan sebagai upaya dalam meningkatkan kualitas layanan dalam mencapai salah satu realisasi dari tata kelola pemerintahan yang baik (Good Corporate Governance). TI dikelola agar dapat meningkatkan kapabilitas perusahaan dalam memberikan kontribusi bagi penciptaan nilai tambah, service excellence, serta pelaksanaan operasional perusahaan yang efisien, efektif dan optimal....
2016
TA-Pdf
UI - Tugas Akhir  Universitas Indonesia Library
<<   1 2 3 4 5 6 7 8 9 10   >>