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The effect of collaterallizable assets, growth in net assets, liquidity, leverage and profitability on dividend policy
FI Mauris, AR Nora
Budapest International Research and Critics Institute (BIRCI-Journal) 4 (1 …, 2019
692019
Herding behavior in the Indonesian Islamic stock market
NA Rizal, MK Damayanti
Journal of Islamic Monetary Economics and Finance 5 (3), 673-690, 2019
222019
Pengaruh Inflasi, Nilai Tukar, Harga Emas, Dan Harga Minyak Terhadap Indeks Harga Saham Jakarta Islamic Index Periode 2012-2016
PP Putri, NA Rizal
ISEI Accounting Review 3 (1), 22-31, 2019
222019
Portofolio optimal Beta dan Alpha
DF Salim, NA Rizal
Jurnal Riset Akuntansi dan Keuangan 9 (1), 181-192, 2021
172021
OPTIMAL ASSETS ALLOCATION FOR RISK AVERSE INVESTOR UNDER MARKET RISKS AND CREDIT RISK.
NA Rizal, SK Wiryono, AD Prasetyo
International Journal of Business & Society 19 (1), 2018
142018
Analisis determinan profitabilitas perusahaan manufaktur pada 2014-2019
AG Wasisto, NA Rizal
Journal of Business and Banking 10 (2), 291, 2021
92021
SOSIALISASI LITERASI KEUANGAN DAN INVESTASI BAGI GEN Z
F Octrina, NA Rizal, A Krisnawati, R Hendayani
JMM (Jurnal Masyarakat Mandiri) 7 (5), 4195-4203, 2023
72023
Banking Indicators In Doing Start-Up Funding For Creative Industry In Indonesia
RN Annisa, J Hatammimi, NA Rizal
The journal of contemporary issues in business and government 27 (5), 2546-2553, 2021
72021
Perbandingan Kinerja Keuangan Perusahaan Bumn Sektor Pertambangan Di Indonesia Dan China Dilihat Dari Rasio Keuangan
YNA Latuconsina, NA Rizal
Jurnal Penelitian Pendidikan 18 (1), 77-86, 2018
72018
Sosialisasi Literasi Keuangan Dan Investasi Bagi Gen Z. JMM (Jurnal Masyarakat Mandiri), 7 (5), 4195
F Octrina, NA Rizal, A Krisnawati, R Hendayani
52023
Pelayanan Digital Kelurahan bagi Pegawai Kelurahan Nyengseret Kota Bandung dan Wawasan Entrepreneurship di Era Digital
R Hendayani, DF Salim, NA Rizal, A Krisnawati
Jurnal Abdi Masyarakat Indonesia 4 (2), 301-306, 2024
42024
Optimal portfolio in discrete-time under HARA utility function
NA Rizal, BA Surya, SK Wiryono
2014 International Symposium on Technology Management and Emerging …, 2014
42014
Analysis of Risk using Value at Risk (VaR) After Crisis in 2008 Study in Stocks of Bank Mandiri, Bank BRI and Bank BNI in 2009-2011
H Fadhila, NA Rizal
Information Management and Business Review 5 (8), 394-400, 2013
42013
A literature review: Modelling dynamic portfolio strategy under defaultable assets with stochastic rate of return, rate of inflation and credit spread rate
NA Rizal, SK Wiryono
GSTF Journal on Business Review (GBR) 4 (2), 22, 2015
32015
Market Efficiency of Exchange Rate of Bitcoin with Dollar and Rupiah of Foreign Exchange Markets: Weak and Semi-Strong Form Test
NA Rizal
Jurnal Manajemen Indonesia 21 (2), 152-160, 2021
22021
Perbandingan Kinerja Keuangan Pada Perusahaan Bumn Sektor Perbankan Periode 2014-2016 Di Indonesia Dan China Menggunakan Analisis Rasio Keuangan
N Muafiah, NA Rizal
Jurnal Penelitian Pendidikan 18 (1), 42-52, 2018
22018
Pengaruh Nilai Tukar Rupiah dan Tingkat Suku Bunga Terhadap Credit Spreads Rate Obligasi di Indonesia Periode 2011-2015
NA Rizal, N Rawindadefi
Jurnal Manajemen Indonesia 16 (3), 213-225, 2016
22016
Stock Return Prediction Model in Indonesia
NA Rizal, RB Kumar, I Gurrib
Jurnal Manajemen Indonesia 23 (3), 350-363, 2023
12023
Analisis Event Studi Pergerakan Indeks Saham Negara Berkembang Anggota G20 Terhadap Pengumuman Invasi Rusia-Ukraina
RA Elfiyana, NA Rizal
eProceedings of Management 10 (5), 2023
12023
The Impact of Carbon And Energy Prices on The Return of Energy Sector Stock in Selected Asia-Pacific Countires
MH Almas, NA Rizal, S Kusairi
Kontigensi: Jurnal Ilmiah Manajemen 11 (1), 177-193, 2023
12023
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