Detail Katalog
ID: 13496Cover Tidak Tersedia
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Analisis kinerja dan strategi pengembangan portofolio kredit dengan pendekatan reward to variability ratio pada PT bank xyz tbk
Pengarang:
Andiko, Zulfikar
Andiko, Zulfikar
Penerbit:
Tahun Terbit:
2010
2010
Subjek
Manajemen Keuangan -- Perbankan -- Kinerja Portofolio -- Sharpe's Model -- Kredit -- Reward To Variability Ratio -- Non Performing Loan -- Bad Debt Ratio -- Optimalisasi Portofolio Model Markowitz -- Analisis Return Portofolio -- Analisis Risiko Portofolio
Deskripsi Fisik:
96 hlm
96 hlm
Nomor Panggil:
15(E28) AND A
15(E28) AND A
Control Number:
INLIS000000000010577
INLIS000000000010577
BIB ID:
0010-072200000010577
0010-072200000010577
Status
Tersedia di OPAC
Bibliografi Nasional Indonesia
Karya Tulis Ilmiah Nasional
Informasi Eksemplar & Metadata
| Nomor Barcode | Nomor Panggil | Akses | Lokasi | Ketersediaan |
|---|---|---|---|---|
00017141 |
15(E28) AND A |
Baca di tempat | Rak C - Karya Ilmiah | Tersedia |
Format MARC21 - Total 23 field
| Tag | Ind1 | Ind2 | Nilai | Urutan |
|---|---|---|---|---|
| 001 | _ |
_ |
INLIS000000000010577 | 1 |
| 005 | _ |
_ |
20220725201329.0 | 2 |
| 008 | _ |
_ |
220725||||||||| | ||| |||| || || | 3 |
| 035 | _ |
_ |
$a 0010-072200000010577 | 4 |
| 084 | _ |
_ |
$a 15(E28) AND A | 5 |
| 100 | _ |
_ |
$a Andiko, Zulfikar | 6 |
| 700 | _ |
_ |
$a Hakim, Dedi Budiman $E Pembimbing | 7 |
| 700 | _ |
_ |
$a Andati, Trias $E Pembimbing | 8 |
| 245 | _ |
_ |
$a Analisis kinerja dan strategi pengembangan portofolio kredit dengan pendekatan reward to variability ratio pada PT bank xyz tbk | 9 |
| 260 | _ |
_ |
$c 2010 | 10 |
| 300 | _ |
_ |
$a 96 hlm | 11 |
| 502 | _ |
_ |
$a Tesis | 12 |
| 650 | _ |
_ |
$a Manajemen Keuangan | 13 |
| 650 | _ |
_ |
$a Perbankan | 14 |
| 650 | _ |
_ |
$a Kinerja Portofolio | 15 |
| 650 | _ |
_ |
$a Sharpe's Model | 16 |
| 650 | _ |
_ |
$a Kredit | 17 |
| 650 | _ |
_ |
$a Reward To Variability Ratio | 18 |
| 650 | _ |
_ |
$a Non Performing Loan | 19 |
| 650 | _ |
_ |
$a Bad Debt Ratio | 20 |
| 650 | _ |
_ |
$a Optimalisasi Portofolio Model Markowitz | 21 |
| 650 | _ |
_ |
$a Analisis Return Portofolio | 22 |
| 650 | _ |
_ |
$a Analisis Risiko Portofolio | 23 |
Penjelasan Field MARC21:
- 001: Control Number
- 005: Date and Time of Latest Transaction
- 020: ISBN
- 100: Main Entry - Personal Name
- 245: Title Statement
- 250: Edition Statement
- 260: Publication Information
- 300: Physical Description
- 650: Subject
- 700: Added Entry - Personal Name
Aksi Cepat
Informasi Katalog
Ditambahkan: 25 Jul 2022
Disetujui OPAC: 25 Jul 2022
Disetujui OPAC: 25 Jul 2022