52 results on '"Febrian, Erie"'
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2. The Macroeconomic-Based Systemic Risks and Bad Loans of Commercial Banks Listed in the Indonesian Capital Market
3. A proposition to implement inclusive Islamic financial planning in Indonesia through bibliometric analysis
4. The Macroeconomic-Based Systemic Risks and Bad Loans of Commercial Banks Listed in the Indonesian Capital Market
5. Influence of Rivalry Merger, Bank Financial Health Rating, and Customer Loyalty to the Competitive Advantage
6. The Effect of Geographical Factors on Islamic Banking Sustainability Performance: An Instrumental Variable Quantile Regression Analysis
7. The effects of business environment and supply chain governance on business strategies and company performance
8. Formulasi Model Kepemimpinan Selama Pandemi Covid-19 Pada Pimpinan Bank Mandiri Region Bandung Sebagai Upaya Menjaga Profitabilitas Perusahaan
9. Market discipline in the behavioral finance perspective: a case of Sharia mutual funds in Indonesia
10. The Effect of COVID-19 to Credit Risk and Capital Risk of State-Owned Bank in Indonesia: A System Dynamics Model
11. How Political situation affected Major Stock’s Abnormal Return in Indonesia
12. Research on Islamic corporate social responsibility and Islamic bank disclosures
13. Islamic Bank Sustainability: An Econometric Approach
14. Competitiveness of SMEs: The support of value creation and market orientation
15. Microeconomics and raw material price on capital structure adjustment through dynamic target in Indonesian textile industries
16. Alleviating Poverty through Islamic Microfinance: Outreach and Efficiency (Study on BMT and Islamic Cooperatives in Indonesia)
17. Financial literacy and its variables: The evidence from Indonesia
18. Why are people trapped in Ponzi and pyramid schemes?
19. Sharia Compliance in Sharia Mutual Funds: A Qualitative Approach
20. Does Financial Perception Mediating the Financial Literacy on Financial Behavior? A Study of Academic Community in Central Java Island, Indonesia
21. An Empirical Study on Influence of Specific Bank’s Variable and Macroeconomics on Bank’s Default Risk: The Case of Foreign Exchange Banks in Indonesia
22. Analisis Three Factor Fama and French Model terhadap Return pada Indeks Saham Syariah Indonesia (ISSI) Periode 2011-2014
23. Financial Literacy among the Millennial Generation: Relationships between Knowledge, Skills, Attitude, and Behavior
24. Faktor-Faktor yang Mempengaruhi Sikap dan Intensi Pengurus Koperasi Untuk Menggunakan Platform Layanan Keuangan Digital di Kota Bandung
25. Factors Influencing of Dividend Payout in Indonesia Stock Exchange
26. Influencing Factors on the Actual Usage of Mobile Phone Banking in the Shari'ah Banks: A Survey in Palembang City, Indonesia
27. Determinants of Business Models Innovation of Islamic Bank in Indonesia
28. Sensitivity of Depositors to Risk of Small Banks under Deposit Insurance Regime: Evidence from Indonesia
29. Competition and Bank Integration in ASEAN
30. Moderating Impact of Ownership Structure on Relationship of Equity Market Timing with Capital Structure on Companies Listed on Indonesia Stock Exchange
31. The Mediating Role of Return on Equity in The Influence of Intellectual Capital on The Islamic Social Responsibility
32. Customers’ Acceptance on e-Banking: Study on Government’s Bank in Jakarta
33. The Influence of Distinctive Capability and Innovation Management Towards the Performance of ISPs in Indonesia
34. The influence of unique capability, functional strategy on company performance of shipbuilding industry in Indonesia
35. The influence of unique capability, functional strategy on company performance of shipbuilding industry in Indonesia
36. Islamic Bank Financial Sustainability: A Micro Econometric Approach
37. Depositor Response to Risk of Local Development Banks: A Case of Indonesia
38. Religiosity and Islamic Banking Product Decision: Survey on Employees of PT Telekomunikasi Indonesia
39. Greece Financial Crises and Sukuk Markets: Experience From Gulf Countries
40. Does Corporate Governance Affect the Financial Distress of Indonesian Company? A Survival Analysis Using Cox Hazard Model with Time-Dependent Covariates
41. The implication of firm-specific characteristics on disclosure: the case of Indonesia
42. Crowd Funding: Financial Service for Unserved Crowds in Indonesia
43. A Conceptual Theory Development on Brand Image in Hotel Industry - Does It Influence Hotel Performance?
44. Volatility Forecasting Models and Market Co-Integration: A Study on South-East Asian Markets
45. Performance of Market Discipline on the Islamic Financial Instrument: Evidence from Indonesian Islamic Gold Investment Scandal
46. Asset Pricing and Volatility Modeling: The Case of Indonesia Stock Market
47. Portfolio volatility of Islamic and conventional stock: The case of Indonesia stock market
48. Portfolio Volatility of Islamic and Conventional Stock: The Case of Indonesia Stock Market
49. The Best Stock Hedging Among Option Strategies
50. Cointegration and Causality Analysis on Developed Asian Markets for Risk Management and Portfolio Selection
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