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EVALUATION ON MARKET RISK MANAGEMENT IN INDONESIA (CASE STUDY ON : SUKUK AND CONVENTIONAL BONDS)

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dc.contributor.author Salsabila, Illona
dc.date.accessioned 2019-04-05T11:00:21Z
dc.date.available 2019-04-05T11:00:21Z
dc.date.issued 2018
dc.identifier.uri http://repository.president.ac.id/xmlui/handle/123456789/123
dc.description.abstract This research is about comparative risk analysis of sukuk and conventional bonds in Indonesia. The main objective is to know deeply market risk between conventional bond and Islamic bond. This research used descriptive and explorative. To collect the data, the author used secondary data i.e collecting data in the form of historical datas or other written data which related to the research. The historical data taken from Indonesia Stock Exchange. This analysis indicate that the comparison between Islamic bond and Conventional Bond In Indonesia by using duration and convexity analysis. en_US
dc.language.iso en_US en_US
dc.publisher President University en_US
dc.relation.ispartofseries Accounting;008201400042
dc.subject Sukuk en_US
dc.subject Conventional Bond en_US
dc.subject Duration en_US
dc.subject Convexity en_US
dc.title EVALUATION ON MARKET RISK MANAGEMENT IN INDONESIA (CASE STUDY ON : SUKUK AND CONVENTIONAL BONDS) en_US
dc.type Thesis en_US


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