• Manajemen Keuangan Strategis (A)
    0%
  • Previous
  • Course data
    General
    Announcements
    RPS Kurikulum 2023 - Manajemen Keuangan strategis
    Perkuliahan Manajemen Keuangan Strategis
    Introduction
    FInance Intro
    Tugas Artikel Manajemen Keuangan Strategis
    Defining Topic
    brief corporate finance
    List tugas
    ext list August 2024
    Data list and example of Data
    Creating Introduction
    Creating Introduction
    exercise student using AI
    Video
    FInance Scope of research
    intro econometric
    Literature Review
    Thomas E. Copeland, J. Fred Weston, Kuldeep Shastri - Financial Theory and Corporate Policy Pearson New International Edition-Pearson (2013) (1)
    Mid Exam Assignment
    Research Chapter 1
    Panduan-Penyusunan-Tesis-Program-Magister-Tahun-2021
    1-s2.0-S0929119921001401-main
    1-s2.0-S1544612320305134-main
    The Journal of Finance - 2023 - COLLIN‐DUFRESNE - How Integrated are Credit and Equity Markets Evidence from Index Options
    Valuation
    Final-LKT-Audit-SRAJ-31-12-2023
    sustainability-12-02699 (2) (2)
    Research Method
    1-s2.0-S0378426624002115-main
    1-s2.0-S0378426624002127-main
    1-s2.0-S0929119924001160-main
    Review research
    International FInance
    VIdeo about International FInance
    Asset Pricing and WACC
    Cost Of Capitalb abt
    1-s2.0-S1544612321002981-main
    1-s2.0-S0140988320301237-main
    final assignment Asset Pricing and WACC
    Empirical Finance Analysis and Econometrics Modeling using open source R
    Pekuliahan 25 Nov 2024 pukul 15:30
    Optimasi Portfolio
    STATISTIKA FINANSIAL - Optimasi Portfolio (updated)
    Instalasi R
    PortfolioAnalytics - Introduction
    PortfolioAnalytics - Advanced Moment Estimation and Optimization
    PortfolioAnalytics - Portfolio Optimization with CVaR budgents
    DEoptim - Large Scale Portfolio Optimization
    DEoptim - An R package for global optimization by Differential Evolution
    PMwR - Portfolio Management with R
    PerformanceAnalytics Charts and Tables Overview
    portfoliooptimization R-package
    LP Algorithms for Portfolio Optimization - The PortfolioOptim Package
    Value-at-Risk (VaR)
    VaR and Backtesting
    VaR using EVT
    SFEVaRbank.R
    SFEVaRbank.dat
    Section 14
    Pekuliahan 2 Des 2024 pukul 15:30
  • Next
  • Panduan Dosen
    Unduh PDF [Video] Panduan Membuat Video Asinkronus dengan Power Point
  • Panduan Mahasiswa
    Unduh PDF
    • Log in
      Forgot Password?
      Don't have an account?
    Manajemen Keuangan Strategis (A)
    Home
    Skip to main content

    Course info

    1. Home
    2. Courses
    3. Institut Teknologi Sepuluh Nopember
    4. Magister
    5. Fakultas Desain Kreatif dan Bisnis Digital
    6. S-2 MAGISTER SAINS MANAJEMEN
    7. Semester Gasal 2024/2025
    8. Manajemen Keuangan Strategis (A)
    9. Summary

    Manajemen Keuangan Strategis (A)

    • Teacher: Dedy Dwi Prastyo
    • Teacher: Muhammad Saiful Hakim

    logo

    Sukolilo | Manyar | Tjokroaminoto
    Kampus Institut Teknologi
    Sepuluh Nopember Surabaya
    Phone: 031-5994251-54, 5947274, 5945472
    Fax: 031-5923465, 5947845

    Follow Us

    • Panduan Dosen
      • Unduh PDF
      • [Video] Panduan Membuat Video Asinkronus dengan Power Point
    • Panduan Mahasiswa
      • Unduh PDF
    You are not logged in. (Log in)
    Get the mobile app